0001193125-17-130401.txt : 20170420 0001193125-17-130401.hdr.sgml : 20170420 20170420135133 ACCESSION NUMBER: 0001193125-17-130401 CONFORMED SUBMISSION TYPE: 10-Q PUBLIC DOCUMENT COUNT: 96 CONFORMED PERIOD OF REPORT: 20170331 FILED AS OF DATE: 20170420 DATE AS OF CHANGE: 20170420 FILER: COMPANY DATA: COMPANY CONFORMED NAME: IMAX CORP CENTRAL INDEX KEY: 0000921582 STANDARD INDUSTRIAL CLASSIFICATION: PHOTOGRAPHIC EQUIPMENT & SUPPLIES [3861] IRS NUMBER: 980140269 STATE OF INCORPORATION: A6 FISCAL YEAR END: 1231 FILING VALUES: FORM TYPE: 10-Q SEC ACT: 1934 Act SEC FILE NUMBER: 001-35066 FILM NUMBER: 17772529 BUSINESS ADDRESS: STREET 1: 2525 SPEAKMAN DRIVE STREET 2: MISSISSAUGA CITY: ONTARIO CANADA STATE: A6 ZIP: L5K 1B1 BUSINESS PHONE: 9054036500 MAIL ADDRESS: STREET 1: 2525 SPEAKMAN DRIVE STREET 2: MISSISSAUGA CITY: ONTARIO CANADA STATE: A6 ZIP: L5K 1B1 10-Q 1 d381026d10q.htm FORM 10-Q Form 10-Q
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UNITED STATES

SECURITIES AND EXCHANGE COMMISSION

WASHINGTON, D.C. 20549

 

 

Form 10-Q

 

 

(Mark One)

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

For the quarterly period ended March 31, 2017

OR

 

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

Commission file Number 001-35066

 

 

IMAX Corporation

(Exact name of registrant as specified in its charter)

 

 

 

Canada   98-0140269

(State or other jurisdiction of

incorporation or organization)

 

(I.R.S. Employer

Identification Number)

2525 Speakman Drive,

Mississauga, Ontario, Canada L5K 1B1

(905) 403-6500

 

110 E. 59th Street, Suite 2100

New York, New York, USA 10022

(212) 821-0100

(Address of principal executive offices, zip code, telephone numbers)

Securities registered pursuant to Section 12(b) of the Act:

 

Title of Each Class

 

Name of Exchange on Which Registered

Common Shares, no par value   The New York Stock Exchange

Securities registered pursuant to Section 12(g) of the Act:

None

(Title of class)

 

 

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  ☒    No  ☐

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  ☒    No  ☐

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

 

Large accelerated filer      Accelerated filer  
Non-accelerated filer   ☐  (Do not check if a smaller reporting company)    Smaller reporting company  
     Emerging growth company  

If an emerging growth company, indicate by check mark if the registrant has elected not to use the extended transition period for complying with any new or revised financial accounting standards provided pursuant to Section 13(a) of the Exchange Act.

Indicate by check mark whether the registrant is a shell Company (as defined in Rule 12b-2 of the Act).    Yes  ☐    No  ☒

Indicate the number of shares of each of the issuer’s classes of common stock, as of the latest practicable date:

 

Class

   Outstanding as of March 31, 2017

Common stock, no par value

   66,573,078

 

 

 


Table of Contents

IMAX CORPORATION

Table of Contents

 

         Page  
PART I. FINANCIAL INFORMATION  

Item 1.

  Financial Statements      4  

Item 2.

  Management’s Discussion and Analysis of Financial Condition and Results of Operations      41  

Item 3.

  Quantitative and Qualitative Factors about Market Risk      66  

Item 4.

  Controls and Procedures      67  
PART II. OTHER INFORMATION  

Item 1.

  Legal Proceedings      68  

Item 1A.

  Risk Factors      68  

Item 6.

  Exhibits      68  

Signatures

       69  

 

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SPECIAL NOTE REGARDING FORWARD-LOOKING INFORMATION

Certain statements included in this quarterly report may constitute “forward-looking statements” within the meaning of the United States Private Securities Litigation Reform Act of 1995. These forward-looking statements include, but are not limited to, references to future capital expenditures (including the amount and nature thereof), business and technology strategies and measures to implement strategies, competitive strengths, goals, expansion and growth of business, operations and technology, plans and references to the future success of IMAX Corporation together with its consolidated subsidiaries (the “Company”) and expectations regarding the Company’s future operating, financial and technological results. These forward-looking statements are based on certain assumptions and analyses made by the Company in light of its experience and its perception of historical trends, current conditions and expected future developments, as well as other factors it believes are appropriate in the circumstances. However, whether actual results and developments will conform with the expectations and predictions of the Company is subject to a number of risks and uncertainties, including, but not limited to, risks associated with investments and operations in foreign jurisdictions and any future international expansion, including those related to economic, political and regulatory policies of local governments and laws and policies of the United States and Canada; risks related to the Company’s growth and operations in China; the performance of IMAX DMR films; the signing of theater system agreements; conditions, changes and developments in the commercial exhibition industry; risks related to currency fluctuations; the potential impact of increased competition in the markets within which the Company operates; competitive actions by other companies; the failure to respond to change and advancements in digital technology; the Company’s largest customer accounting for a significant portion of the Company’s revenue and backlog; risks related to new business initiatives; conditions in the in-home and out-of-home entertainment industries; the opportunities (or lack thereof) that may be presented to and pursued by the Company; risks related to cyber-security; risks related to the Company’s inability to protect the Company’s intellectual property; general economic, market or business conditions; the failure to convert theater system backlog into revenue; changes in laws or regulations; and other factors, many of which are beyond the control of the Company. Consequently, the forward-looking statements made in this quarterly report are qualified by these cautionary statements, and actual results or anticipated developments by the Company may not be realized, and even if substantially realized, may not have the expected consequences to, or effects on, the Company. The Company undertakes no obligation to update publicly or otherwise revise any forward-looking information, whether as a result of new information, future events or otherwise.

 

 

IMAX®, IMAX® Dome, IMAX® 3D, IMAX® 3D Dome, Experience It In IMAX®, The IMAX Experience®, An IMAX Experience®, An IMAX 3D Experience®, IMAX DMR®, DMR®, IMAX nXos®, IMAX think big®, think big® and IMAX Is Believing®, are trademarks and trade names of the Company or its subsidiaries that are registered or otherwise protected under laws of various jurisdictions.

 

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IMAX CORPORATION

PART I. FINANCIAL INFORMATION

Item 1. Financial Statements

 

     Page  

The following unaudited Condensed Consolidated Financial Statements are filed as part of this Report:

  

Condensed Consolidated Balance Sheets as at March  31, 2017 and December 31, 2016

     5  

Condensed Consolidated Statements of Operations for the three month periods ended March 31, 2017 and 2016

     6  

Condensed Consolidated Statements of Comprehensive Income for the three month periods ended March 31, 2017 and 2016

     7  

Condensed Consolidated Statements of Cash Flows for the three month periods ended March 31, 2017 and 2016

     8  

Notes to Condensed Consolidated Financial Statements

     9  

 

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IMAX CORPORATION

CONDENSED CONSOLIDATED BALANCE SHEETS

(In thousands of U.S. dollars)

(Unaudited)

 

     March 31,
2017
    December 31,
2016
 

Assets

    

Cash and cash equivalents

   $ 190,481     $ 204,759  

Accounts receivable, net of allowance for doubtful accounts of $1,282 (December 31, 2016 — $1,250)

     96,113       96,349  

Financing receivables

     120,490       122,125  

Inventories

     45,433       42,121  

Prepaid expenses

     8,047       6,626  

Film assets

     13,413       16,522  

Property, plant and equipment

     248,228       245,415  

Other assets

     19,660       33,195  

Deferred income taxes

     29,491       20,779  

Other intangible assets

     31,106       30,416  

Goodwill

     39,027       39,027  
  

 

 

   

 

 

 

Total assets

   $ 841,489     $ 857,334  
  

 

 

   

 

 

 

Liabilities

    

Bank indebtedness

   $ 26,826     $ 27,316  

Accounts payable

     13,935       19,990  

Accrued and other liabilities

     75,424       93,208  

Deferred revenue

     100,901       90,266  
  

 

 

   

 

 

 

Total liabilities

     217,086       230,780  
  

 

 

   

 

 

 

Commitments and contingencies

    

Non-controlling interests

     2,555       4,980  
  

 

 

   

 

 

 

Shareholders’ equity

    

Capital stock common shares — no par value. Authorized — unlimited number. 66,596,784 issued and 66,573,078 outstanding (December 31, 2016 — 66,224,467 issued and 66,159,902 outstanding)

     455,838       439,213  

Less: Treasury stock, 23,706 shares at cost (December 31, 2016 — 64,565)

     (779     (1,939

Other equity

     165,670       177,304  

Accumulated deficit

     (55,605     (47,366

Accumulated other comprehensive loss

     (4,447     (5,200
  

 

 

   

 

 

 

Total shareholders’ equity attributable to common shareholders

     560,677       562,012  

Non-controlling interests

     61,171       59,562  
  

 

 

   

 

 

 

Total shareholders’ equity

     621,848       621,574  
  

 

 

   

 

 

 

Total liabilities and shareholders’ equity

   $ 841,489     $ 857,334  
  

 

 

   

 

 

 

(the accompanying notes are an integral part of these condensed consolidated financial statements)

 

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IMAX CORPORATION

CONDENSED CONSOLIDATED STATEMENTS OF OPERATIONS

(In thousands of U.S. dollars, except per share amounts)

(Unaudited)

 

     Three Months Ended
March 31,
 
     2017     2016  

Revenues

    

Equipment and product sales

   $ 11,544     $ 23,740  

Services

     38,844       44,273  

Rentals

     15,857       21,779  

Finance income

     2,412       2,336  
  

 

 

   

 

 

 
     68,657       92,128  
  

 

 

   

 

 

 

Costs and expenses applicable to revenues

    

Equipment and product sales

     7,464       17,791  

Services

     19,814       17,596  

Rentals

     5,608       4,565  
  

 

 

   

 

 

 
     32,886       39,952  
  

 

 

   

 

 

 

Gross margin

     35,771       52,176  

Selling, general and administrative expenses
(including share-based compensation expense of $5.3 million for the three months ended March 31, 2017 (2016 — expense of $5.9 million))

     30,941       28,919  

Research and development

     4,334       3,708  

Amortization of intangibles

     602       491  

Receivable provisions, net of recoveries

     185       126  
  

 

 

   

 

 

 

(Loss) income from operations

     (291     18,932  

Interest income

     228       467  

Interest expense

     (455     (398
  

 

 

   

 

 

 

(Loss) income from operations before income taxes

     (518     19,001  

Provision for income taxes

     (114     (4,608

Loss from equity-accounted investments, net of tax

     (255     (441
  

 

 

   

 

 

 

Net (loss) income

     (887     13,952  

Less: net loss (income) attributable to non-controlling interests

     962       (2,650
  

 

 

   

 

 

 

Net income attributable to common shareholders

   $ 75     $ 11,302  
  

 

 

   

 

 

 

Net income per share attributable to common shareholders — basic and diluted:

    

Net income per share — basic

   $ —       $ 0.16  
  

 

 

   

 

 

 

Net income per share — diluted

   $ —       $ 0.16  
  

 

 

   

 

 

 

(the accompanying notes are an integral part of these condensed consolidated financial statements)

 

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IMAX CORPORATION

CONDENSED CONSOLIDATED STATEMENTS OF COMPREHENSIVE INCOME

(In thousands of U.S. dollars)

(Unaudited)

 

     Three Months Ended  
     March 31,  
     2017     2016  

Net (loss) income

   $ (887   $ 13,952  
  

 

 

   

 

 

 

Unrealized net gain from cash flow hedging instruments

     313       2,207  

Realization of cash flow hedging net loss upon settlement

     285       1,277  

Foreign currency translation adjustments

     458       422  

Amortization of postretirement benefit plan actuarial loss

     —         17  
  

 

 

   

 

 

 

Other comprehensive income, before tax

     1,056       3,923  

Income tax expense related to other comprehensive income

     (157     (911
  

 

 

   

 

 

 

Other comprehensive income, net of tax

     899       3,012  
  

 

 

   

 

 

 

Comprehensive income

     12       16,964  

Less: Comprehensive loss (income) attributable to non-controlling interests

     816       (1,951
  

 

 

   

 

 

 

Comprehensive income attributable to common shareholders

   $ 828     $ 15,013  
  

 

 

   

 

 

 

(the accompanying notes are an integral part of these condensed consolidated financial statements)

 

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IMAX CORPORATION

CONDENSED CONSOLIDATED STATEMENTS OF CASH FLOWS

(In thousands of U.S. dollars)

(Unaudited)

 

     Three Months Ended  
     March 31,  
     2017     2016  

Cash provided by (used in):

    

Operating Activities

    

Net (loss) income

   $ (887   $ 13,952  

Adjustments to reconcile net (loss) income to cash from operations:

    

Depreciation and amortization

     12,088       10,438  

Write-downs, net of recoveries

     4,010       648  

Change in deferred income taxes

     (958     (185

Stock and other non-cash compensation

     5,660       6,002  

Unrealized foreign currency exchange gain

     (171     (557

Loss from equity-accounted investments

     156       818  

Loss (gain) on non-cash contribution to equity-accounted investees

     99       (377

Investment in film assets

     (3,334     (3,919

Changes in other non-cash operating assets and liabilities

     (17,280     (21,783
  

 

 

   

 

 

 

Net cash (used in) provided by operating activities

     (617     5,037  
  

 

 

   

 

 

 

Investing Activities

    

Purchase of property, plant and equipment

     (4,068     (4,585

Investment in joint revenue sharing equipment

     (7,547     (3,988

Investment in new business ventures

     (1,000     —    

Acquisition of other intangible assets

     (1,591     (770
  

 

 

   

 

 

 

Net cash used in investing activities

     (14,206     (9,343
  

 

 

   

 

 

 

Financing Activities

    

Repayment of bank indebtedness

     (500     (500

Settlement of restricted share units and options

     (11,158     (5,849

Common shares issued—stock options exercised

     13,082       740  

Treasury stock purchased for future settlement of restricted share units

     (779     —    

Taxes withheld and paid on employee stock awards vested

     (146     (73

Repurchase of common shares

     —         (44,618

Taxes paid on secondary sale and repatriation dividend

     —         (2,991
  

 

 

   

 

 

 

Net cash provided by (used in) financing activities

     499       (53,291
  

 

 

   

 

 

 

Effects of exchange rate changes on cash

     46       (100
  

 

 

   

 

 

 

Decrease in cash and cash equivalents during period

     (14,278     (57,697

Cash and cash equivalents, beginning of period

     204,759       317,449  
  

 

 

   

 

 

 

Cash and cash equivalents, end of period

   $ 190,481     $ 259,752  
  

 

 

   

 

 

 

(the accompanying notes are an integral part of these condensed consolidated financial statements)

 

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IMAX CORPORATION

NOTES TO CONDENSED CONSOLIDATED FINANCIAL STATEMENTS

(Tabular amounts in thousands of U.S. dollars, unless otherwise stated)

(Unaudited)

1. Basis of Presentation

IMAX Corporation, together with its consolidated subsidiaries (the “Company”), prepares its financial statements in accordance with United States Generally Accepted Accounting Principles (“U.S. GAAP”).

The condensed consolidated financial statements include the accounts of the Company together with its consolidated subsidiaries, except for subsidiaries which the Company has identified as variable interest entities (“VIEs”) where the Company is not the primary beneficiary. The nature of the Company’s business is such that the results of operations for the interim periods presented are not necessarily indicative of results to be expected for the fiscal year. In the opinion of management, the information contained herein reflects all normal and recurring adjustments necessary to make the results of operations for the interim periods a fair statement of such operations.

The Company has evaluated its various variable interests to determine whether they are VIEs as required by the Consolidation Topic of the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC” or “Codification”).

The Company has nine film production companies that are VIEs. For four of the Company’s film production companies, the Company has determined that it is the primary beneficiary of these entities as the Company has the power to direct the activities of the respective VIE that most significantly impact the respective VIE’s economic performance and has the obligation to absorb losses of the VIE that could potentially be significant to the respective VIE or the right to receive benefits from the respective VIE that could potentially be significant to the respective VIE. These consolidated production companies have total assets of $5.8 million (December 31, 2016 — $10.3 million) and total liabilities of $6.5 million as at March 31, 2017 (December 31, 2016 — $6.4 million). The majority of these consolidated assets are held by the IMAX Original Film Fund (the “Film Fund”) as described in note 16(b). For the other five film production companies which are VIEs, the Company did not consolidate these film entities since it does not have the power to direct activities and does not absorb the majority of the expected losses or expected residual returns. The Company equity accounts for these entities. As at March 31, 2017, these five VIEs have total assets of $0.4 million (December 31, 2016 — $0.4 million) and total liabilities of $0.4 million (December 31, 2016 — $0.4 million). Earnings of the investees included in the Company’s condensed consolidated statements of operations amounted to $nil for the three months ended March 31, 2017 (2016 — $nil). The carrying value of these investments in VIEs that are not consolidated is $nil at March 31, 2017 (December 31, 2016 — $nil). A loss in value of an investment other than a temporary decline is recognized as a charge to the condensed consolidated statements of operations. The Company’s exposure, which is determined based on the level of funding contributed by the Company and the development stage of the respective film, is $nil at March 31, 2017 (December 31, 2016 — $nil).

The Company accounts for investments in new business ventures using the guidance of the FASB ASC 323 “Investments – Equity Method and Joint Ventures” (“ASC 323”) or ASC 320 “Investments in Debt and Equity Securities” (“ASC 320”), as appropriate.

All intercompany accounts and transactions, including all unrealized intercompany profits on transactions with equity-accounted investees, have been eliminated.

The year-end condensed consolidated balance sheet data was derived from audited financial statements, but does not include all disclosures required by U.S. GAAP.

These interim financial statements should be read in conjunction with the consolidated financial statements included in the Company’s 2016 Annual Report on Form 10-K for the year ended December 31, 2016 (“the 2016 Form 10-K”) which should be consulted for a summary of the significant accounting policies utilized by the Company. These interim financial statements are prepared following accounting policies consistent with the Company’s financial statements for the year ended December 31, 2016, except as noted below. Certain prior period information has been revised to reflect the current period information.

 

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2. New Accounting Standards and Accounting Changes

Adoption of New Accounting Policies

The Company adopted the following standards on January 1, 2017, which are effective for annual periods ending after December 31, 2016, and for annual and interim periods thereafter.

In July 2015, the FASB issued ASU No. 2015-11, “Inventory (Topic 330): Simplifying the Measurement of Inventory” (“ASU 2015-11”). The purpose of the amendment is to more closely align the measurement of inventory in U.S. GAAP with the measurement of inventory in International Financial Reporting Standards. Under the ASU inventory is measured at the lower of cost and net realizable value. The clarifications are not intended to result in any changes in practice and to reduce the complexity in guidance on the subsequent measurement of inventory. This standard only applies to inventory being measured using the first-in, first-out or average cost methods of accounting for inventory. The adoption of ASU 2015-11 did not have an impact to the Company’s condensed consolidated financial statements.

In March 2016, the FASB issued ASU No. 2016-05, “Derivatives and Hedging (Topic 815): Effect of Derivative Contract Novations on Existing Hedge Accounting Relationships” (“ASU 2016-05”). The amendments in ASU 2016-05 apply to all reporting entities for which there is a change in the counterparty to a derivative instrument that has been designated as a hedging instrument under Topic 815. The amendments clarify that a change in the counterparty to a derivative instrument that has been designated as the hedging instrument under Topic 815 does not, in and of itself, require de-designation of that hedging relationship provided that all other hedge accounting criteria (including those in paragraphs 815-20-35-14 through 35-18) continue to be met. The adoption of this ASU 2016-05 did not have an impact to the Company’s condensed consolidated financial statements.

In March 2016, the FASB issued ASU No. 2016-07, “Investments – Equity Method and Joint Ventures (Topic 323): Simplifying the Transition to the Equity Method of Accounting” (“ASU 2016-07”). The purpose of the amendment is to eliminate the requirement that when an investment qualifies for use of the equity method as a result of an increase in the level of ownership interest or degree of influence, an investor must adjust the investment, results of operations, and retained earnings retroactively on a step-by step basis as if the equity method had been in effect during all previous periods that the investment had been held. The adoption of ASU 2016-07 did not have an impact to the Company’s condensed consolidated financial statements.

In October 2016, the FASB issued ASU No. 2016-16, “Income Taxes (Topic 740)”. The purpose of ASU 2016-16 is to eliminate the exception for an intra-entity transfer of an asset other than inventory. The amendments require the recognition of the income tax consequences of an intra-entity transfer of an asset, other than inventory, when the transfer occurs. The Company has elected to early adopt ASU 2016-16 during the quarter ended March 31, 2017. The impact from the adoption was reflected in the Company’s condensed consolidated financial statements on a modified retrospective basis resulting in an increase to Accumulated deficit of $8.3 million, a decrease to Other assets of $14.8 million, an increase to Deferred taxes of $7.9 million and an increase to Accrued and other liabilities of $1.4 million.

In October 2016, the FASB issued ASU No. 2016-17, “Consolidation (Topic 810)”. The purpose of ASU 2016-17 is to update the requirement of the reporting entity, in determining whether it satisfies the second characteristic of a primary beneficiary, to include all of its direct variable interests in a VIE and, on a proportionate basis, its indirect variable interests in a VIE held through related parties, including related parties that are under common control with the reporting entity. The adoption of ASU 2016-17 did not have an impact to the Company’s condensed consolidated financial statements.

Recently Issued FASB Accounting Standard Codification Updates

In February 2016, the FASB issued ASU No. 2016-02, “Leases (Topic 842)” (“ASU 2016-02”). The purpose of the amendment is to help investors and other financial statement users better understand the amount, timing, and uncertainty of cash flows arising from leases. New disclosures will include qualitative and quantitative requirements to provide additional information about the amounts recorded in the financial statements. Lessor accounting will remain largely unchanged from current guidance, however ASU 2016-02 will provide improvements that are intended to align lessor accounting with the lessee model and with updated revenue recognition guidance. For public entities, the amendments in ASU 2016-02 are effective for interim and annual reporting periods beginning after December 15, 2018. While the Company continues to evaluate the effect of the standard on its ongoing financial reporting, it anticipates that the adoption of ASU 2016-02 will result in a change to its financial statement disclosures.

 

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In March 2016, the FASB issued ASU No. 2016-08, “Revenue from Contracts with Customers (Topic 606): Principal versus Agent Considerations” (“ASU 2016-08”). The purpose of ASU 2016-08 is to clarify the implementation of guidance on principal versus agent considerations.

In April 2016, the FASB issued ASU No. 2016-10, “Revenue from Contracts with Customers (Topic 606): Identifying Performance Obligations and Licensing” (“ASU 2016-10”). The purpose of ASU 2016-10 is to provide more detailed guidance in the following key areas: identifying performance obligations and licenses of intellectual property.

In May 2016, the FASB issued ASU No. 2016-11, to rescind from the FASB Accounting Standards Codification certain SEC paragraphs as a result of two SEC Staff Announcements at the March 3, 2016 meeting.

In May 2016, the FASB issued ASU No. 2016-12, “Revenue from Contracts with Customers (Topic 606): Narrow-Scope Improvements and Practical Expedients” (“ASU 2016-12”). The purpose of ASU 2016-12 is to clarify certain narrow aspects of Topic 606 such as assessing the collectibility criterion, presentation of sales taxes and other similar taxes collected from customers, noncash consideration, contract modifications at transition, completed contracts at transition, and technical corrections.

In December 2016, the FASB issued ASU No. 2016-20, “Technical Corrections and Improvements to Topic 606, Revenue from Contracts with Customers”. The amendments in ASU 2016-20 represent changes to clarify the accounting standard codification, correct unintended application of guidance, or make minor improvements to the accounting standards codification that are related to Topic 606, Revenue from Contracts with Customers.

For public companies, ASU 2016-08, ASU 2016-10, ASU 2016-11, ASU 2016-12 and ASU 2016-20, which are all related to Topic 606, are effective for interim and annual reporting periods beginning after December 15, 2017. The Company has performed an analysis of its contracts to determine those in scope of the standard, has performed detailed analyses of those contracts and identified its performance obligations. The Company is currently in the process of determining contract consideration and is determining the appropriate timing for revenue recognition of those performance obligations. Since many of the Company’s contracts involve variable payments tied to box-office, the Company is currently assessing an appropriate constraint to variable revenue streams in determining contract consideration under the new standard. The Company currently intends to adopt the new standard using the modified retrospective method and has begun the process of gathering historical information on its contracts in preparation for the standard’s expanded disclosure requirements.

In June 2016, the FASB issued ASU No. 2016-13, “Financial Instruments – Credit Losses (Topic 326): Measurement of Credit Losses on Financial Instruments” (“ASU 2016-13”). The purpose of ASU 2016-13 is to require a financial asset measured on the amortized cost basis to be presented at the net amount expected to be collected. Credit losses relating to available-for-sale debt securities should be recorded through an allowance for credit losses. For public entities, the amendments in ASU 2016-13 are effective for interim and annual reporting periods beginning after December 15, 2019. The Company is currently assessing the impact of ASU 2016-13 on its condensed consolidated financial statements.

In January 2017, the FASB issued ASU No. 2017-01, “Business Combinations (Topic 805): Clarifying the Definition of a Business” (“ASU 2017-01”). The purpose of the amendment is to clarify the definition of a business with the objective of adding guidance to assist entities with evaluating whether transactions should be accounted for as acquisitions (or disposals) of assets or businesses. For public entities, the amendments in ASU 2017-01 are effective for interim and annual reporting periods beginning after December 15, 2017. The adoption of this ASU 2017-01 is not expected to have a material impact to the Company’s condensed consolidated financial statements.

In January 2017, the FASB issued ASU No. 2017-04, “Intangibles – Goodwill and Other (Topic 350): Simplifying the Test for Goodwill Impairment” (“ASU 2017-04”). The purpose of the amendment is to simplify how an entity is required to test goodwill for impairment by eliminating Step 2 from the goodwill impairment test. Step 2 measures a goodwill impairment loss by comparing the implied fair value of a reporting unit’s goodwill with the carrying amount of that goodwill. For public entities, the amendments in ASU 2017-04 are effective for interim and annual reporting periods beginning after December 15, 2019. The Company is currently assessing the impact of ASU 2017-04 on its condensed consolidated financial statements.

In March 2017, the FASB issued ASU No. 2017-07, “Compensation – Retirement Benefits (Topic 715): Improving the Presentation of Net Periodic Pension Cost and Net Periodic Postretirement Benefit Cost” (“ASU 2017-07”). The amendment requires the service cost component of net periodic benefit cost be presented in the same income statement line item as other employee compensation costs arising from services rendered during the period and other components of the net periodic benefit cost be presented separately from the line item that includes the service cost and outside of any subtotal of operating income. For public entities, the amendments in ASU 2017-07 are effective for interim and annual reporting periods beginning after December 15, 2017. The Company is currently assessing the impact of ASU 2017-07 on its condensed consolidated financial statements.

 

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The Company considers the applicability and impact of all recently issued FASB accounting standard codification updates. Accounting standards updates that are not noted above were assessed and determined to be not applicable or not significant to the Company’s condensed consolidated financial statements for the period ended March 31, 2017.

3. Financing Receivables

Financing receivables, consisting of net investment in sales-type leases and receivables from financed sales of theater systems are as follows:

 

     March 31,
2017
     December 31,
2016
 

Gross minimum lease payments receivable

   $ 10,119      $ 10,466  

Unearned finance income

     (1,639      (1,710
  

 

 

    

 

 

 

Minimum lease payments receivable

     8,480        8,756  

Accumulated allowance for uncollectible amounts

     (672      (672
  

 

 

    

 

 

 

Net investment in leases

     7,808        8,084  
  

 

 

    

 

 

 

Gross financed sales receivables

     151,561        154,301  

Unearned finance income

     (38,385      (39,766
  

 

 

    

 

 

 

Financed sales receivables

     113,176        114,535  

Accumulated allowance for uncollectible amounts

     (494      (494
  

 

 

    

 

 

 

Net financed sales receivables

     112,682        114,041  
  

 

 

    

 

 

 

Total financing receivables

   $ 120,490      $ 122,125  
  

 

 

    

 

 

 

Net financed sales receivables due within one year

   $ 22,645      $ 21,980  

Net financed sales receivables due after one year

   $ 90,037      $ 92,061  

As at March 31, 2017, the financed sale receivables had a weighted average effective interest rate of 9.3% (December 31, 2016 — 9.3%).

4. Inventories

 

     March 31,      December 31,  
     2017      2016  

Raw materials

   $ 31,565      $ 28,000  

Work-in-process

     3,994        3,818  

Finished goods

     9,874        10,303  
  

 

 

    

 

 

 
   $ 45,433      $ 42,121  
  

 

 

    

 

 

 

At March 31, 2017, finished goods inventory for which title had passed to the customer and revenue was deferred amounted to $3.3 million (December 31, 2016 — $2.3 million).

During the three months ended March 31, 2017, the Company recognized write-downs for excess and obsolete inventory based upon current estimates of net realizable value considering future events and conditions of $nil (2016 — $0.2 million).

 

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5. Property Plant and Equipment

 

     As at March 31, 2017  
     Cost      Accumulated
Depreciation
     Net Book
Value
 

Equipment leased or held for use

        

Theater system components

   $ 227,636      $ 93,280      $ 134,356  

Camera equipment

     5,990        3,879        2,111  
  

 

 

    

 

 

    

 

 

 
     233,626        97,159        136,467  
  

 

 

    

 

 

    

 

 

 

Assets under construction

     22,175        —          22,175  
  

 

 

    

 

 

    

 

 

 

Other property, plant and equipment

        

Land

     8,203        —          8,203  

Buildings

     70,692        15,439        55,253  

Office and production equipment

     42,513        23,412        19,101  

Leasehold improvements

     10,452        3,423        7,029  
  

 

 

    

 

 

    

 

 

 
     131,860        42,274        89,586  
  

 

 

    

 

 

    

 

 

 
   $ 387,661      $ 139,433      $ 248,228  
  

 

 

    

 

 

    

 

 

 
     As at December 31, 2016  
     Cost      Accumulated
Depreciation
     Net Book
Value
 

Equipment leased or held for use

        

Theater system components

   $ 224,890      $ 89,218      $ 135,672  

Camera equipment

     5,739        3,732        2,007  
  

 

 

    

 

 

    

 

 

 
     230,629        92,950        137,679  
  

 

 

    

 

 

    

 

 

 

Assets under construction

     18,315        —          18,315  
  

 

 

    

 

 

    

 

 

 

Other property, plant and equipment

        

Land

     8,203        —          8,203  

Buildings

     69,861        14,877        54,984  

Office and production equipment

     41,128        21,935        19,193  

Leasehold improvements

     10,067        3,026        7,041  
  

 

 

    

 

 

    

 

 

 
     129,259        39,838        89,421  
  

 

 

    

 

 

    

 

 

 
   $ 378,203      $ 132,788      $ 245,415  
  

 

 

    

 

 

    

 

 

 

 

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6. Other Intangible Assets

 

     As at March 31, 2017  
     Cost      Accumulated
Amortization
     Net Book
Value
 

Patents and trademarks

   $ 11,578      $ 7,216      $ 4,362  

Licenses and intellectual property

     21,167        6,522        14,645  

Other

     16,686        4,587        12,099  
  

 

 

    

 

 

    

 

 

 
   $ 49,431      $ 18,325      $ 31,106  
  

 

 

    

 

 

    

 

 

 
     As at December 31, 2016  
     Cost      Accumulated
Amortization
     Net Book
Value
 

Patents and trademarks

   $ 11,395      $ 7,046      $ 4,349  

Licenses and intellectual property

     22,490        7,620        14,870  

Other

     15,352        4,155        11,197  
  

 

 

    

 

 

    

 

 

 
   $ 49,237      $ 18,821      $ 30,416  
  

 

 

    

 

 

    

 

 

 

Other intangible assets of $16.7 million are comprised mainly of the Company’s investment in an enterprise resource planning system. Fully amortized other intangible assets are still in use by the Company.

During the three months ended March 31, 2017, the Company acquired $1.6 million in other intangible assets. The weighted average amortization period for these additions was 10 years.

During the three months ended March 31, 2017, the Company incurred costs of $0.1 million, to renew or extend the term of acquired other intangible assets which were recorded in selling, general and administrative expenses (2016 – $0.1 million).

As at March 31, 2017, estimated amortization expense for each of the years ended December 31, are as follows:

 

2017 (nine months remaining)

   $ 2,774  

2018

     3,699  

2019

     3,699  

2020

     3,699  

2021

     3,699  

 

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7. Credit Facility and Playa Vista Loan

The Company maintains a senior secured credit facility (the “Credit Facility”) with a maximum borrowing capacity of $200.0 million and a scheduled maturity of March 3, 2020. The Credit Facility is collateralized by a first priority security interest in substantially all of the present and future assets of the Company and the Guarantors. Certain of the Company’s subsidiaries serve as guarantors (the “Guarantors”) of the Company’s obligations under the Credit Facility.

The terms of the Credit Facility are set forth in the Fourth Amended and Restated Credit Agreement (as amended, the “Credit Agreement”), dated March 3, 2015, among the Company, the Guarantors, the lenders named therein, Wells Fargo Bank, National Association (“Wells Fargo”), as agent and issuing lender (Wells Fargo, together with the lenders named therein, the “Lenders”) and Wells Fargo Securities, LLC, as Sole Lead Arranger and Sole Bookrunner and in various collateral and security documents entered into by the Company and the Guarantors. Each of the Guarantors has also entered into a guarantee in respect of the Company’s obligations under the Credit Facility. On February 22, 2016, the Company amended the terms of the Credit Agreement to increase the general restricted payment basket thereunder (which covers, among other things, the repurchase of shares) from $150.0 million to $350.0 million in the aggregate after the amendment date.

The Company was in compliance with all of its requirements at March 31, 2017.

Total amounts drawn and available under the Credit Facility at March 31, 2017 were $nil and $200.0 million, respectively (December 31, 2016 — $nil and $200.0 million, respectively).

As at March 31, 2017, the Company did not have any letters of credit and advance payment guarantees outstanding (December 31, 2016 — $nil), under the Credit Facility.

Playa Vista Financing

IMAX PV Development Inc., a Delaware corporation (“PV Borrower”) and wholly-owned subsidiary of the Company, entered into a loan agreement with Wells Fargo. The loan (the “Playa Vista Loan”) was used to principally fund the costs of development and construction of the West Coast headquarters of the Company, located in the Playa Vista neighborhood of Los Angeles, California (the “Playa Vista Project”).

In connection with the Playa Vista Project, the Playa Vista Loan was fully drawn at $30.0 million and bears interest at a variable rate per annum equal to 2.0% above the 30-day LIBOR rate. PV Borrower is required to make monthly payments of combined principal and interest over a 10-year term with a lump sum payment at the end of year 10. The Playa Vista Loan is being amortized over 15 years. The Playa Vista Loan will be fully due and payable on October 19, 2025 (the “Maturity Date”), and may be prepaid at any time without premium, but with all accrued interest and other applicable payments.

The Playa Vista Loan is secured by a deed of trust from PV Borrower in favor of Wells Fargo and other documents evidencing and securing the loan (the “Loan Documents”), granting a first lien on and security interest in the Playa Vista property and the Playa Vista Project, including all improvements to be constructed thereon. The Loan Documents include absolute and unconditional payment and completion guarantees provided by the Company to Wells Fargo for the performance by PV Borrower of all the terms and provisions of the Playa Vista Loan.

The Loan Documents contain affirmative, negative and financial covenants (including compliance with the financial covenants of the Company’s outstanding Credit Facility), agreements, representations, warranties, borrowing conditions, and events of default customary for development projects such as the Playa Vista Project.

 

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Bank indebtedness includes the following:

 

     March 31,
2017
     December 31,
2016
 

Playa Vista Loan

   $ 27,167      $ 27,667  

Deferred charges on debt financing

     (341      (351
  

 

 

    

 

 

 
   $ 26,826      $ 27,316  
  

 

 

    

 

 

 

Total amounts drawn under the loan at March 31, 2017 was $27.2 million (December 31, 2016 — $27.7 million). The effective interest rate for the three months ended March 31, 2017 was 2.85% (2016 — 2.43%).

In accordance with the loan agreement, the Company is obligated to make payments on the principal of the loan as follows:

 

2017 (nine months remaining)

   $ 1,500  

2018

     2,000  

2019

     2,000  

2020

     2,000  

2021

     2,000  

Thereafter

     17,667  
  

 

 

 
   $ 27,167  
  

 

 

 

Wells Fargo Foreign Exchange Facility

Within the Credit Facility, the Company is able to purchase foreign currency forward contracts and/or other swap arrangements. There is no settlement risk on its foreign currency forward contracts at March 31, 2017, as the fair value exceeded the notional value of the forward contracts. As at March 31, 2017, the Company has $39.8 million in notional value of such arrangements outstanding.

Bank of Montreal Facility

As at March 31, 2017, the Company has available a $10.0 million facility (December 31, 2016 — $10.0 million) with the Bank of Montreal for use solely in conjunction with the issuance of performance guarantees and letters of credit fully insured by Export Development Canada (the “Bank of Montreal Facility”). The Company did not have any letters of credit and advance payment guarantees outstanding as at March 31, 2017 (December 31, 2016 — $0.1 million) under the Bank of Montreal Facility.

 

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8. Contingencies and Guarantees

The Company is involved in lawsuits, claims, and proceedings, including those identified below, which arise in the ordinary course of business. In accordance with the Contingencies Topic of the FASB ASC, the Company will make a provision for a liability when it is both probable that a loss has been incurred and the amount of the loss can be reasonably estimated. The Company believes it has adequate provisions for any such matters. The Company reviews these provisions in conjunction with any related provisions on assets related to the claims at least quarterly and adjusts these provisions to reflect the impacts of negotiations, settlements, rulings, advice of legal counsel and other pertinent information related to the case. Should developments in any of these matters outlined below cause a change in the Company’s determination as to an unfavorable outcome and result in the need to recognize a material provision, or, should any of these matters result in a final adverse judgment or be settled for significant amounts, they could have a material adverse effect on the Company’s results of operations, cash flows, and financial position in the period or periods in which such a change in determination, settlement or judgment occurs.

The Company expenses legal costs relating to its lawsuits, claims and proceedings as incurred.

(a) On May 15, 2006, the Company initiated arbitration against Three-Dimensional Media Group, Ltd. (“3DMG”) before the International Centre for Dispute Resolution in New York (the “ICDR”), alleging breaches of the license and consulting agreements between the Company and 3DMG. On June 15, 2006, 3DMG filed an answer denying any breaches and asserting counterclaims that the Company breached the parties’ license agreement. On June 21, 2007, the ICDR unanimously denied 3DMG’s Motion for Summary Judgment filed on April 11, 2007 concerning the Company’s claims and 3DMG’s counterclaims. The proceeding was suspended on May 4, 2009 due to failure of 3DMG to pay fees associated with the proceeding. The proceeding was further suspended on October 11, 2010 pending resolution of re-examination proceedings involving one of 3DMG’s patents. Following a status conference on April 27, 2016 before the ICDR, the ICDR granted 3DMG leave to amend its answer and counterclaims, and subsequently lifted the stay in this matter. In its amended counterclaims, 3DMG seeks damages for alleged unpaid royalties and other fees under the license and consulting agreements. Discovery is currently ongoing and a final hearing before the ICDR has been scheduled for the week of July 10, 2017. Given the stage of discovery, the Company is unable to determine a range of potential damages in this matter. However, the Company believes that the amount of loss, if any, suffered in connection with the amended counterclaims would not have a material impact on the financial position or results of operations of the Company, although no assurance can be given with respect to the ultimate outcome of the arbitration.

(b) In January 2004, the Company and IMAX Theatre Services Ltd., a subsidiary of the Company, commenced an arbitration seeking damages before the International Court of Arbitration of the International Chamber of Commerce (the “ICC”) with respect to the breach by Electronic Media Limited (“EML”) of its December 2000 agreement with the Company. In June 2004, the Company commenced a related arbitration before the ICC against EML’s affiliate, E-City Entertainment (I) PVT Limited (“E-City”). On March 27, 2008, the arbitration panel issued a final award in favor of the Company in the amount of $11.3 million, consisting of past and future rents owed to the Company, plus interest and costs, as well as an additional $2,512 each day in interest from October 1, 2007 until the date the award is paid. In July 2008, E-City commenced a proceeding in Mumbai, India seeking an order that the ICC award may not be recognized in India. The Company has opposed that application on a number of grounds and seeks to have the ICC award recognized in India. On June 10, 2013, the Bombay High Court ruled that it has jurisdiction over the proceeding filed by E-City. The Company appealed that ruling to the Supreme Court of India, and on March 10, 2017, the Supreme Court set aside the Bombay High Court’s judgement and dismissed E-City’s petition. On March 29, 2017, the Company filed an Execution Application in the Bombay High Court seeking to enforce the ICC award against E-City and several related parties. On June 24, 2011, the Company commenced a proceeding in the Ontario Superior Court of Justice for recognition of the ICC final award. On December 2, 2011, the Ontario Court issued an order recognizing the final award and requiring E-City to pay the Company $30,000 to cover the costs of the application. In January 2013, the Company filed an action in the New York Supreme Court seeking to collect the amount owed to the Company by certain entities and individuals affiliated with E-City. On October 16, 2015, the New York Supreme Court denied the Company’s petition, and the Company is appealing that decision. On July 29, 2014, the Company commenced a separate proceeding to have the Canadian judgment against E-City recognized in New York, and on October 2, 2015, the New York Supreme Court granted IMAX’s request, recognizing the Canadian judgment and entering it as a New York judgment. On November 26, 2014, E-City filed a motion in the Bombay High Court seeking to enjoin IMAX from continuing the New York legal proceedings. On February 2, 2015, the Bombay High Court denied E-City’s request for an injunction. On March 16, 2015, E-City filed an appeal of this Bombay High Court decision.

(c) In March 2013, IMAX (Shanghai) Multimedia Technology Co., Ltd. (“IMAX Shanghai”), the Company’s majority-owned subsidiary in China, received notice from the Shanghai office of the General Administration of Customs (“Customs Authority”) that it had been selected for a customs audit (the “Audit”). A key issue raised by the Audit is the transfer pricing policy basis for the importation of IMAX theater systems by IMAX Shanghai into the People’s Republic of China and the applicability of customs duties

 

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and taxes to the trademark and technology license fees paid by IMAX Shanghai to the Company. In December 2016, the Customs Authority conclusively determined that any trademark, technology and warranty fees paid by IMAX Shanghai on systems revenue directly related to imported theater systems should be included as part of the tax cost base of these systems and subject to applicable duties and taxes. In connection with the conclusion, for the period beginning January 1, 2012 through October 31, 2016, IMAX Shanghai recorded $2.95 million in duties and taxes on the trademark, technology and warranty fees applicable to theater systems imported during that period and settled the payment in January 2017. In the course of the Audit, the Customs Authority discovered the underpayment by IMAX Shanghai of the freight and insurance portion of the customs duties and taxes applicable to the importation of certain IMAX theater systems during the period from October 2011 through March 2013 of approximately $0.1 million. Though IMAX Shanghai’s importation agent accepted responsibility for the error giving rise to the underpayment, the matter has been transferred to the Anti-Smuggling Bureau of the Customs Authority for further review. IMAX Shanghai is unable to assess the potential impact, if any, of this outstanding matter at this time.

(d) On November 11, 2013, Giencourt Investments, S.A. (“Giencourt”) initiated arbitration before the International Centre for Dispute Resolution in Miami, Florida, based on alleged breaches by the Company of its theater agreement and related license agreement with Giencourt. Giencourt submitted its statement of claim in January 2015, the Company submitted its statement of defense and counterclaim in April 2015 and Giencourt submitted its arbitration reply paper in September 2015. An arbitration hearing for witness testimony was held during the week of December 14, 2015. At the hearing, Giencourt’s expert identified monetary damages of up to approximately $10.4 million, which Giencourt seeks to recover from the Company. The Company has asserted a counterclaim against Giencourt for breach of contract and seeks to recover lost profits in excess of $24.0 million under the agreements. In addition, on December 10, 2015, Giencourt made a motion to the panel seeking to enforce a purported settlement of the matter based on negotiations between Giencourt and the Company. The panel held a final hearing with closing arguments on October 20 and 21, 2016. On February 7, 2017, the panel issued a Partial Final Award (the “Award”), which held that the parties had reached a binding settlement, and therefore the panel did not reach the merits of the dispute. The Company strongly disputes that discussions about a potential resolution of this matter amounted to an enforceable settlement. The Company is currently reviewing the Award and assessing its response and potential next steps, including a potential challenge in Florida court on the grounds that the panel exceeded its jurisdiction. At this time, the Company is unable to determine the amounts that it may owe pursuant to the Award, or the timing of any such payments, and therefore no assurances can be given with respect to the ultimate outcome of the matter.

(e) In addition to the matters described above, the Company is currently involved in other legal proceedings or governmental inquiries which, in the opinion of the Company’s management, will not materially affect the Company’s financial position or future operating results, although no assurance can be given with respect to the ultimate outcome of any such proceedings.

(f) In the normal course of business, the Company enters into agreements that may contain features that meet the definition of a guarantee. The Guarantees Topic of the FASB ASC defines a guarantee to be a contract (including an indemnity) that contingently requires the Company to make payments (either in cash, financial instruments, other assets, shares of its stock or provision of services) to a third party based on (a) changes in an underlying interest rate, foreign exchange rate, equity or commodity instrument, index or other variable, that is related to an asset, a liability or an equity security of the counterparty, (b) failure of another party to perform under an obligating agreement or (c) failure of another third party to pay its indebtedness when due.

Financial Guarantees

The Company has provided no significant financial guarantees to third parties.

Product Warranties

The Company’s accrual for product warranties, that was recorded as part of accrued liabilities in the condensed consolidated balance sheets is less than $0.1 million at March 31, 2017 and December 31, 2016, respectively.

Director/Officer Indemnifications

The Company’s General By-law contains an indemnification of its directors/officers, former directors/officers and persons who have acted at its request to be a director/officer of an entity in which the Company is a shareholder or creditor, to indemnify them, to the extent permitted by the Canada Business Corporations Act, against expenses (including legal fees), judgments, fines and any amounts actually and reasonably incurred by them in connection with any action, suit or proceeding in which the directors and/or officers are sued as a result of their service, if they acted honestly and in good faith with a view to the best interests of the Company. The nature of the indemnification prevents the Company from making a reasonable estimate of the maximum potential amount it could be required to pay to counterparties. The Company has purchased directors’ and officers’ liability insurance. No amount has been accrued in the condensed consolidated balance sheet as at March 31, 2017 and December 31, 2016 with respect to this indemnity.

 

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Other Indemnification Agreements

In the normal course of the Company’s operations, the Company provides indemnifications to counterparties in transactions such as: theater system lease and sale agreements and the supervision of installation or servicing of the theater systems; film production, exhibition and distribution agreements; real property lease agreements; and employment agreements. These indemnification agreements require the Company to compensate the counterparties for costs incurred as a result of litigation claims that may be suffered by the counterparty as a consequence of the transaction or the Company’s breach or non-performance under these agreements. While the terms of these indemnification agreements vary based upon the contract, they normally extend for the life of the agreements. A small number of agreements do not provide for any limit on the maximum potential amount of indemnification; however, virtually all of the Company’s system lease and sale agreements limit such maximum potential liability to the purchase price of the system. The fact that the maximum potential amount of indemnification required by the Company is not specified in some cases prevents the Company from making a reasonable estimate of the maximum potential amount it could be required to pay to counterparties. Historically, the Company has not made any significant payments under such indemnifications and no amounts have been accrued in the condensed consolidated financial statements with respect to the contingent aspect of these indemnities.

9. Condensed Consolidated Statements of Operations Supplemental Information

 

  (a) Selling Expenses

The Company defers direct selling costs such as sales commissions and other amounts related to its sale and sales-type lease arrangements until the related revenue is recognized. These costs and direct advertising and marketing, included in costs and expenses applicable to revenues-equipment and product sales, totaled $0.4 million for the three months ended March 31, 2017 (2016 — $0.7 million).

Film exploitation costs, including advertising and marketing, totaled $2.4 million for the three months ended March 31, 2017 (2016 — $3.0 million) and are recorded in costs and expenses applicable to revenues-services as incurred.

Commissions are recognized as costs and expenses applicable to revenues-rentals in the month they are earned. These costs totaled $0.1 million for the three months ended March 31, 2017 (2016 — recovery of less than $0.1 million). Direct advertising and marketing costs for each theater are charged to costs and expenses applicable to revenues-rentals as incurred. These costs totaled an expense of $0.3 million for the three months ended March 31, 2017 (2016 — less than $0.1 million).

 

  (b) Foreign Exchange

Included in selling, general and administrative expenses for the three months ended March 31, 2017 is a loss of less than $0.1 million (2016 — gain of $0.5 million), for net foreign exchange gains/losses related to the translation of foreign currency denominated monetary assets and liabilities. See note 15(d) for additional information.

 

  (c) Collaborative Arrangements

Joint Revenue Sharing Arrangements

In a joint revenue sharing arrangement, the Company receives a portion of a theater’s box-office and concession revenues, and in some cases a small upfront or initial payment, in exchange for placing a theater system at the theater operator’s venue. Under joint revenue sharing arrangements, the customer has the ability and the right to operate the hardware components or direct others to operate them in a manner determined by the customer. The Company’s joint revenue sharing arrangements are typically non-cancellable for 10 years or longer with renewal provisions. Title to equipment under joint revenue sharing arrangements generally does not transfer to the customer. The Company’s joint revenue sharing arrangements do not contain a guarantee of residual value at the end of the term. The customer is required to pay for executory costs such as insurance and taxes and is required to pay the Company for maintenance and extended warranty throughout the term. The customer is responsible for obtaining insurance coverage for the theater systems commencing on the date specified in the arrangement’s shipping terms and ending on the date the theater systems are delivered back to the Company.

 

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The Company has signed joint revenue sharing agreements with 46 exhibitors for a total of 997 theater systems, of which 649 theaters were operating as at March 31, 2017, the terms of which are similar in nature, rights and obligations. The accounting policy for the Company’s joint revenue sharing arrangements is disclosed in note 2(m) of the Company’s 2016 Form 10-K.

Amounts attributable to transactions arising between the Company and its customers under joint revenue sharing arrangements are included in Equipment and Product Sales and Rentals revenue and for the three months ended March 31, 2017 amounted to $15.7 million (2016 — $23.4 million).

IMAX DMR

In an IMAX DMR arrangement, the Company transforms conventional motion pictures into the Company’s large screen format, allowing the release of Hollywood content to the global IMAX theater network. In a typical IMAX DMR film arrangement, the Company receives a percentage, which in recent years has averaged approximately 12.5%, of net box-office receipts, defined as gross box office receipts less applicable sales taxes, of any commercial films released in the IMAX theater network outside of Greater China from the applicable film studio for the conversion of the film to the IMAX DMR format and for access to the Company’s premium distribution platform. Within Greater China, the Company receives a lower percentage of box-office receipts for certain films. The Company does not typically hold distribution rights or the copyright to these films.

For the three months ended March 31, 2017, the majority of IMAX DMR revenue was earned from the exhibition of 18 IMAX DMR films (2016 – 17) throughout the IMAX theater network. The accounting policy for the Company’s IMAX DMR arrangements is disclosed in note 2(m) of the Company’s 2016 Form 10-K.

Amounts attributable to transactions arising between the Company and its customers under IMAX DMR arrangements are included in Services revenue and for the three months ended March 31, 2017 amounted to $23.4 million (2016 — $29.8 million).

Co-Produced Film Arrangements

In certain film arrangements, the Company co-produces a film with a third party whereby the third party retains the copyright and rights to the film and the Company obtains exclusive theatrical distribution rights to the film. Under these arrangements, both parties contribute funding to the Company’s wholly-owned production company for the production of the film and for associated exploitation costs. Clauses in the film arrangements generally provide for the third party to take over the production of the film if the cost of the production exceeds its approved budget or if it appears as though the film will not be delivered on a timely basis.

The accounting policies relating to co-produced film arrangements are disclosed in notes 2(a) and 2(m) of the Company’s 2016 Form 10-K.

As at March 31, 2017, the Company has one significant co-produced film arrangement which represents the VIE total assets and liabilities balance of $0.4 million and four other co-produced film arrangements, the terms of which are similar.

For the three months ended March 31, 2017, amounts totaling $0.5 million (2016 — $0.2 million) attributable to transactions between the Company and other parties involved in the production of the films have been included in cost and expenses applicable to revenues-services.

 

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10. Condensed Consolidated Statements of Cash Flows Supplemental Information

(a) Changes in other non-cash operating assets and liabilities are comprised of the following:

 

     Three Months Ended  
     March 31,  
     2017      2016  

Decrease (increase) in:

     

Accounts receivable

   $ 161      $ 6,070  

Financing receivables

     1,763        (1,748

Inventories

     (3,312      (5,994

Prepaid expenses

     (1,421      (2,345

Commissions and other deferred selling expenses

     (228      34  

Insurance recoveries

     (96      132  

Other assets

     100        (441

Increase (decrease) in:

     

Accounts payable

     (6,041      (2,470

Accrued and other liabilities

     (18,825      (12,023

Deferred revenue

     10,619        (2,998
  

 

 

    

 

 

 
   $ (17,280    $ (21,783
  

 

 

    

 

 

 

(b) Cash payments made on account of:

 

     Three Months Ended  
     March 31,  
     2017      2016  

Income taxes

   $ 7,270      $ 12,051  
  

 

 

    

 

 

 

Interest

   $ 190      $ 180  
  

 

 

    

 

 

 

(c) Depreciation and amortization are comprised of the following:

 

     Three Months Ended  
     March 31,  
     2017      2016  

Film assets

   $ 3,805      $ 3,356  

Property, plant and equipment

     

Joint revenue sharing arrangements

     4,246        3,738  

Other property, plant and equipment

     2,760        2,326  

Other intangible assets

     926        672  

Other assets

     220        205  

Deferred financing costs

     131        141  
  

 

 

    

 

 

 
   $ 12,088      $ 10,438  
  

 

 

    

 

 

 

 

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(d) Write-downs, net of recoveries, are comprised of the following:

 

     Three Months Ended  
     March 31,  
     2017      2016  

Accounts receivable

   $ 185       $ 126   

Financing receivables

     —           —     

Inventories

     —           184   

Film assets (1)

     3,416         —     

Property, plant and equipment(2)

     409         329   

Impairment of investments

     —           —     

Other intangible assets

     —           9   
  

 

 

    

 

 

 
   $ 4,010       $ 648   
  

 

 

    

 

 

 

 

(1) The Company reviewed the carrying value of certain documentary film assets as a result of lower than expected revenue being generated during the period and revised expectations for future revenues based on the latest information available. An impairment of $3.4 million was recorded based on the carrying value of these documentary films as compared to the related estimated future box office and revenues that would ultimately be generated by these films.
(2) The Company recognized asset impairment charges of against property, plant and equipment after an assessment of the carrying value of certain assets in light of their future expected cash flows.

11. Income Taxes

 

  (a) Income Taxes

The Company’s effective tax rate differs from the statutory tax rate and varies from year to year primarily as a result of permanent differences, investment and other tax credits, the provision for income taxes at different rates in foreign and other provincial jurisdictions, enacted statutory tax rate increases or reductions in the year, changes due to foreign exchange, changes in the Company’s valuation allowance based on the Company’s recoverability assessments of deferred tax assets, and favorable or unfavorable resolution of various tax examinations. During the quarter ended March 31, 2017, there was no change in the Company’s estimates of the recoverability of its deferred tax assets based on an analysis of both positive and negative evidence including projected future earnings.

As at March 31, 2017, the Company had net deferred income tax assets after valuation allowance of $29.5 million (December 31, 2016 — $20.8 million), which consists of a gross deferred income tax asset of $29.7 million (December 31, 2016 — $21.0 million), against which the Company is carrying a $0.2 million valuation allowance (December 31, 2016 — $0.2 million).

For the quarter ended March 31, 2017, the Company recorded a provision for income taxes of $0.1 million. Included in the provision for income taxes was a $0.3 million recovery for windfall tax benefits, offset by a $0.6 million provision related to the portion of losses applicable to non-controlling interests in the Company’s Film Fund.

The Company has elected to early adopt ASU 2016-16 related to income taxes during the quarter ended March 31, 2017. The impact from the adoption was reflected in the Company’s condensed consolidated financial statements on a modified retrospective basis resulting in an increase to Accumulated deficit of $8.3 million, a decrease to Other assets of $14.8 million, an increase to Deferred taxes of $7.9 million and an increase to Accrued and other liabilities of $1.4 million.

The Company early adopted ASU 2016-09, related to stock-based compensation, in June 2016. ASU 2016-09 eliminates additional paid in capital (“APIC”) pools and requires excess tax benefits and tax deficiencies to be recorded in the condensed consolidated statements of operations when the awards vest or are settled. In addition, modified retrospective adoption of ASC 2016-09 eliminates the requirement that excess tax benefits be realized before they can be recognized. The Company has recorded an adjustment of $0.9 million to Deferred income taxes related to the impact from adoption of the provisions related to forfeiture rates. See note 12 for further discussion of the impact from the adoption of ASU 2016-09.

 

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  (b) Income Tax Effect on Other Comprehensive Income

The income tax expense included in the Company’s other comprehensive income are related to the following items:

 

     Three Months Ended  
     March 31,  
     2017      2016  

Unrealized change in cash flow hedging instruments

   $ (82    $ (574

Realized change in cash flow hedging instruments upon settlement

     (75      (332

Amortization of actuarial loss on postretirement benefit plan

     —          (5
  

 

 

    

 

 

 
   $ (157    $ (911
  

 

 

    

 

 

 

12. Capital Stock

 

  (a) Stock-Based Compensation

The compensation costs recorded in the condensed consolidated statements of operations for the Company’s stock-based compensation plans were $5.3 million for the three months ended March 31, 2017 (2016 —$5.9 million).

As at March 31, 2017, the Company has reserved a total of 11,226,190 (December 31, 2016 — 12,012,572) common shares for future issuance under the Company’s Stock Option Plan (“SOP”) and the IMAX Corporation Amended and Restated Long-Term Incentive Plan (“IMAX LTIP”). Of the common shares reserved for issuance, there are options in respect of 5,268,603 common shares and restricted share units (“RSUs”) in respect of 1,275,421 common shares outstanding at March 31, 2017. At March 31, 2017, options in respect of 3,945,034 common shares were vested and exercisable.

The Company early adopted ASU 2016-09, related to stock-based compensation, in June 2016. ASU 2016-09 eliminates the requirement to estimate and apply a forfeiture rate to reduce stock compensation expense during the vesting period and, instead, account for forfeitures as they occur. ASU 2016-09 also requires the presentation of employee taxes as a financing activity on the condensed consolidated statement of cash flows. Where applicable, comparative figures have been restated as if the adoption of ASU 2016-09 occurred on January 1, 2016.

Stock Option Plan

The Company recorded an expense of $1.3 million for the three months ended March 31, 2017 (2016 — $2.4 million) related to stock option grants issued to employees and directors in the IMAX LTIP and SOP plans. An income tax benefit is recorded in the condensed consolidated statements of operations of $0.4 million for the three months ended March 31, 2017 (2016 — $1.3 million), for these costs.

The weighted average fair value of all stock options granted to employees and directors for the three months ended March 31, 2017 at the grant date was $9.08 per share (2016 — $8.55 per share). The following assumptions were used to estimate the average fair value of the stock options:

 

     Three Months
     Ended March 31,
     2017   2016

Average risk-free interest rate

   2.40%   1.72%

Expected option life (in years)

   4.71 - 5.83   4.79 - 4.88

Expected volatility

   30%   30%

Dividend yield

   0%   0%

Stock options to Non-Employees

There were no common share options issued to non-employees during the three months ended March 31, 2017 and 2016.

 

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As at March 31, 2017, non-employee stock options outstanding amounted to 17,000 stock options (2016 — 38,750) with a weighted average exercise price of $29.64 per share (2016 — $26.79 per share). 17,000 stock options (2016 — 26,325) were exercisable with an average weighted exercise price of $29.64 per share (2016 — $26.99 per share) and the vested stock options have an aggregate intrinsic value of $0.1 million (2016 — $0.1 million).

For the three months ended March 31, 2017, the Company recorded an expense of less than $0.1 million (2016 — recovery of less than $0.1 million) to selling, general and administrative expenses related to the non-employee stock options. There were no liabilities accrued for non-employee stock options as at March 31, 2017 (December 31, 2016 — less than $0.1 million).

China Long Term Incentive Plan (“China LTIP”)

The China LTIP was adopted by IMAX China Holding, Inc. (“IMAX China”), a subsidiary of the Company, in October 2012. Each stock option (“China Option”), RSU or cash settled share-based payment (“CSSBP”) issued under the China LTIP represents an opportunity to participate economically in the future growth and value creation of IMAX China.

In connection with the IMAX China IPO and in accordance with the China LTIP, IMAX China adopted a post-IPO share option plan and a post-IPO restricted stock unit plan. Pursuant to these plans, IMAX China issued additional China Options and China LTIP Restricted Share Units (“China RSUs”) for the three months ended March 31, 2017.

During the three months ended March 31, 2017, the Company recorded an expense related to the China Options, China RSUs and CSSBPs of $0.2 million, $0.1 million and $0.1 million (2016 — $0.2 million, $nil and $0.1 million). The liability recognized with respect to the CSSBPs as at March 31, 2017 was $0.4 million (December 31, 2016 — $0.3 million).

Stock Option Summary

The following table summarizes certain information in respect of option activity under the SOP and IMAX LTIP for the three month periods ended March 31:

 

            Weighted Average Exercise  
     Number of Shares      Price Per Share  
     2017      2016      2017      2016  

Options outstanding, beginning of period

     5,190,542        4,805,244      $ 28.35      $ 27.03  

Granted

     679,030        323,925        32.16        31.85  

Exercised

     (584,589      (43,750      22.38        16.91  

Forfeited

     (16,380      (2,042      31.69        31.85  
  

 

 

    

 

 

       

Options outstanding, end of period

     5,268,603        5,083,377        29.49        27.42  
  

 

 

    

 

 

       

Options exercisable, end of period

     3,945,034        3,507,573        28.68        26.52  
  

 

 

    

 

 

       

No stock options were cancelled from its IMAX LTIP or SOP surrendered by Company employees during the three months ended March 31, 2017 and 2016.

As at March 31, 2017, options that are exercisable have an intrinsic value of $21.3 million and a weighted average remaining contractual life of 4.6 years. The intrinsic value of options exercised in the three months ended March 31, 2017 was $6.0 million (2016 — $0.6 million).

Restricted Share Units

RSUs have been granted to employees, consultants and directors under the IMAX LTIP. Each RSU represents a contingent right to receive one common share and is the economic equivalent of one common share. The grant date fair value of each RSU is equal to the share price of the Company’s stock at the grant date. The Company recorded an expense of $3.4 million for the three months ended March 31, 2017 (2016 — $3.1 million), related to RSU grants issued to employees and directors in the plan. The Company did not issue any RSU grants to certain advisors and strategic partners of the Company during the three months ended March 31, 2017 and 2016.

 

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During the three months ended March 31, 2017, in connection with the vesting of RSUs, the Company settled 201,793 (2016 — 190,298) common shares to IMAX LTIP participants, of which 7,127 (2016 — 5,563) common shares, net of shares withheld for tax withholdings of 4,582 (2016 — 3,508) were issued from treasury and 190,084 (2016 — 181,227) common shares were settled through the open market purchases by the IMAX LTIP trustee.

Total stock-based compensation expense related to non-vested RSUs not yet recognized at March 31, 2017 and the weighted average period over which the awards are expected to be recognized is $37.1 million and 2.6 years, respectively (2016 — $32.0 million and 2.7 years, respectively). The Company’s actual tax benefits realized for the tax deductions related to the vesting of RSUs was $1.9 million for the three months ended March 31, 2017 (2016 — $1.9 million).

Historically, RSUs granted under the IMAX LTIP have vested between immediately and four years from the grant date. In connection with the amendment and restatement of the IMAX LTIP at the Company’s annual and special meeting of shareholders on June 6, 2016, the IMAX LTIP plan was amended to impose a minimum one-year vesting period on future RSU grants, with a carve-out for 300,000 RSUs that may vest on a shorter schedule. During 2016, 39,726 RSUs with a vesting period of less than one year were issued from the carve-out of 300,000 RSUs under the amended IMAX LTIP plan. There were no RSUs issued during the three months ended March 31, 2017 from the remaining carve-out balance of 260,274 RSUs. Vesting of the RSUs is subject to continued employment or service with the Company.

The following table summarizes certain information in respect of RSU activity under the IMAX LTIP for the three months ended March 31:

 

     Number of Awards      Weighted Average
Grant Date Fair
Value Per Share
 
     2017      2016      2017      2016  

RSUs outstanding, beginning of period

     1,124,180        973,637      $ 33.01      $ 32.27  

Granted

     373,540        351,584        32.45        31.85  

Vested and settled

     (201,793      (190,298      31.25        29.47  

Forfeited

     (20,506      (3,092      32.31        32.43  
  

 

 

    

 

 

       

RSUs outstanding, end of period

     1,275,421        1,131,831        33.13        32.61  
  

 

 

    

 

 

       

Issuer Purchases of Equity Securities

On June 16, 2014, the Company’s board of directors approved a new $150.0 million share repurchase program for shares of the Company’s common stock, which program was amended on April 20, 2016 to increase the aggregate purchase allowance to $200.0 million. Purchases under the program commenced during the third quarter of 2014, and the program expires on June 30, 2017. The repurchases may be made either in the open market or through private transactions, subject to market conditions, applicable legal requirements and other relevant factors. The Company has no obligation to repurchase shares and the share repurchase program may be suspended or discontinued by the Company at any time.

During the three months ended March 31, 2017, the Company did not repurchase any common shares. During the three months ended March 31, 2016, the Company repurchased 1,446,418 common shares at an average price of $30.82 per share. The retired shares were purchased for $44.6 million. The average carrying value of the stock retired was deducted from common stock and the remaining excess over the average carrying value of stock was charged to accumulated deficit. The Company has $46.3 million available under its approved repurchase program.

The total number of shares purchased during the three months ended March 31, 2017 does not include any shares purchased in the administration of employee share-based compensation plans (which amounted to 368,624 (2016 — 181,277) common shares, at an average price of $32.38 (2016 — $32.28) per share).

As at March 31, 2017, the IMAX LTIP trustee held 23,706 (December 31, 2016 – 66,093) shares purchased for $0.8 million (December 31, 2016—$2.0 million) in the open market to be issued upon the settlement of RSUs and stock options. The shares held with the trustee are recorded at cost and are reported as a reduction against capital stock on the condensed consolidated balance sheet.

 

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Canadian Securities Law Matters

The Company has received an exemption decision issued by the Ontario Securities Commission, dated April 1, 2016, for relief from the formal issuer bid requirements under Canadian securities laws. The exemption decision permits the Company to repurchase up to 10% of its outstanding common shares in any twelve-month period through the facilities of the New York Stock Exchange (“NYSE”) under repurchase programs that the Company may implement from time to time. The Canadian securities laws regulate an issuer’s ability to make repurchases of its own securities.

The Company sought the exemption so that it can make repurchases under its repurchase programs in excess of the maximum allowable in reliance on the existing “other published markets” exemption from the formal issuer bid requirements available under Canadian securities laws. The “other published markets” exemption caps the Company’s ability to repurchase its securities through the facilities of the NYSE at 5% of the issuer’s outstanding securities during any 12-month period.

The conditions of the exemption decision are as follows: (i) any repurchases made in reliance on the exemption decision must be permitted under, and part of repurchase programs established and conducted in accordance with, U.S. securities laws and NYSE rules, (ii) the aggregate number of common shares acquired in reliance on the exemption decision by the Company and any person or company acting jointly or in concert with the Company within any 12 months does not exceed 10% of the outstanding common shares at the beginning of the 12-month period, (iii) the common shares are not listed and posted for trading on an exchange in Canada, (iv) the exemption decision applies only to the acquisition of common shares by the Company within 36 months of the date of the decision, and (v) prior to purchasing common shares in reliance on the exemption decision, the Company discloses the terms of the exemption decision and the conditions applicable thereto in a press release that is issued on SEDAR and includes such language as part of the news release required to be issued in accordance with the “other published markets exemption” in respect of any repurchase program that may be implemented by the Company.

 

  (b) Net Income Per Share

Reconciliations of the numerator and denominator of the basic and diluted per-share computations are comprised of the following:

 

     Three Months  
     Ended March 31,  
     2017      2016  

Net income applicable to common shareholders

   $ 75      $ 11,302  
  

 

 

    

 

 

 

Weighted average number of common shares (000’s):

     

Issued and outstanding, beginning of period

     66,160        69,673  

Weighted average number of shares issued (repurchased) during the period

     203        (294
  

 

 

    

 

 

 

Weighted average number of shares used in computing basic income per share

     66,363        69,379  

Assumed exercise of stock options and RSUs, net of shares assumed repurchased

     817        741  
  

 

 

    

 

 

 

Weighted average number of shares used in computing diluted income per share

     67,180        70,120  
  

 

 

    

 

 

 

The calculation of diluted earnings per share excludes 1,785,013 shares that are issuable upon the vesting of 171,673 RSUs and the exercise of 1,613,340 stock options for the three months ended March 31, 2017, as the impact would be antidilutive. The calculation of diluted earnings per share excludes 3,245,033 shares that are issuable upon the vesting of 615,028 RSUs and the exercise of 2,630,005 stock options for the three months ended March 31, 2016, as the impact would be antidilutive.

As part of the adoption of ASU 2016-09, the excess tax benefit is no longer included in the calculation of diluted shares under the treasury stock method.

 

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  (c) Shareholder’s Equity Attributable to Common Shareholders

The following summarizes the movement of Shareholders’ Equity attributable to common shareholders for the three months ended March 31, 2017:

 

Balance as at December 31, 2016

   $ 562,012  

Net income attributable to common shareholders

     75  

Retrospective adjustment related to intra-entity transfers (notes 2 and 11)

     (8,314

Adjustments to capital stock:

  

Cash received from the issuance of common shares

     13,082  

Issuance of common shares for vested RSUs

     273  

Fair value of stock options exercised at the grant date

     3,270  

Share held in treasury

     1,160  

Adjustments to other equity:

  

Employee stock options granted

     1,596  

Non-employee stock options granted and vested

     17  

Fair value of stock options exercised at the grant date

     (3,270

RSUs granted

     3,554  

RSUs vested

     (6,506

Stock exercised from treasury shares

     (7,025

Adjustments to accumulated other comprehensive loss:

  

Unrealized net gain from cash flow hedging instruments

     313  

Realization of cash flow hedging net loss upon settlement

     285  

Foreign currency translation adjustments

     312  

Tax effect of movement in other comprehensive income

     (157
  

 

 

 

Balance as at March 31, 2017

   $ 560,677  
  

 

 

 

 

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13. Segmented Information

Management, including the Company’s Chief Executive Officer (“CEO”) who is the Company’s Chief Operating Decision Maker (as defined in the Segment Reporting Topic of the FASB ASC), assesses segment performance based on segment revenues, gross margins and film performance. Selling, general and administrative expenses, research and development costs, amortization of intangibles, receivables provisions (recoveries), write-downs net of recoveries, interest income, interest expense and tax (provision) recovery are not allocated to the segments.

In the first quarter of 2017, modifications have been made to the CEO’s reporting package to move away from the Company’s historical two primary groups – IMAX Theater Systems and Film – and align with the way in which the CODM manages the business. The new structure is expected to assist users of the financial statements with an enhanced understanding of how management views the business, and the drivers behind the Company’s performance. Certain of the prior period’s figures have been reclassified to conform to the current period’s presentation.

The Company has identified new business as an additional reportable segment in the first quarter of 2017. The Company now has the following eight reportable segments: IMAX systems; IMAX DMR; joint revenue sharing arrangements; theater system maintenance; film distribution; film post-production; new business; and other.

The Company’s reportable segments are now under four primary groups identified by nature of product sold or service provided: (1) Network Business, representing variable revenue generated by box-office results and which includes the reportable segment of IMAX DMR and contingent rent from the joint revenue sharing arrangements and IMAX systems segments; (2) Theater Business, representing revenue generated by the sale and installation of theater systems and maintenance services, primarily related to the IMAX Systems and Theater System Maintenance reportable segments, and also includes fixed hybrid revenues and upfront installation costs from the joint revenue sharing arrangements segment and after-market sales of projection system parts and 3D glasses from the other segment; (3) New Business, which includes content licensing and distribution fees associated with the Company’s original content investments, virtual reality initiatives, IMAX Home Entertainment, and other business initiatives that are in the development and/or start-up phase, and (4) Other; which includes the film post-production and distribution segments and certain IMAX theaters that the Company owns and operates, camera rentals and other miscellaneous items from the other segment. The Company is presenting information at a disaggregated level to provide more relevant information to readers, as permitted by the standard. The accounting policies of the segments are the same as those described in note 2 to the audited consolidated financial statements included in the Company’s 2016 Form 10-K. In addition, refer to Item 2 of the Company’s Form 10-Q for additional information regarding the four primary groups mentioned above.

Transactions between the IMAX DMR segment and the film post-production segment are valued at exchange value. Inter-segment profits are eliminated upon consolidation, as well as for the disclosures below.

 

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     Three Months Ended  
     March 31,  
     2017      2016  

Revenue(1)

     

Network business

     

IMAX DMR

   $ 23,408      $ 29,805  

Joint revenue sharing arrangements — contingent rent

     15,233        21,315  

IMAX systems — contingent rent

     688        1,187  
  

 

 

    

 

 

 
     39,329        52,307  
  

 

 

    

 

 

 

Theater business

     

IMAX systems

     9,527        20,674  

Joint revenue sharing arrangements — fixed fees

     470        2,070  

Theater system maintenance

     11,045        9,826  

Other theater

     2,165        2,487  
  

 

 

    

 

 

 
     23,207        35,057  
  

 

 

    

 

 

 

New business

     1,280        —    
  

 

 

    

 

 

 

Other

     

Film post-production

     3,072        2,407  

Film distribution

     512        363  

Other

     1,257        1,994  
  

 

 

    

 

 

 
     4,841        4,764  
  

 

 

    

 

 

 

Total

   $ 68,657      $ 92,128  
  

 

 

    

 

 

 

Gross Margin

     

Network business

     

IMAX DMR(2)

   $ 17,467      $ 22,823  

Joint revenue sharing arrangements — contingent rent(2)

     10,250        17,487  

IMAX systems — contingent rent

     688        1,187  
  

 

 

    

 

 

 
     28,405        41,497  
  

 

 

    

 

 

 

Theater business

     

IMAX systems(2)

     5,741        6,648  

Joint revenue sharing arrangements — fixed fees(2)

     88        504  

Theater system maintenance

     4,249        3,439  

Other theater

     430        (32
  

 

 

    

 

 

 
     10,508        10,559  
  

 

 

    

 

 

 

New business

     (337      (225
  

 

 

    

 

 

 

Other

     

Film post-production

     1,101        1,249  

Film distribution(2)

     (3,764      (679

Other

     (142      (225
  

 

 

    

 

 

 
     (2,805      345  
  

 

 

    

 

 

 

Total

   $ 35,771      $ 52,176  
  

 

 

    

 

 

 

 

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(1) The Company’s largest customer represented 17.2% of total revenues for the three months ended March 31, 2017 (2016 — 16.0%).
(2) IMAX DMR segment margins include marketing costs of $2.6 million for the three months ended March 31, 2017 (2016 — $2.3 million). Joint revenue sharing arrangements segment margins include advertising, marketing and commission costs of $0.4 million for the three months ended March 31, 2017 (2016 — $0.1 million). IMAX systems segment margins include marketing and commission costs of $0.4 million for the three months ended March 31, 2017 (2016 — $0.5 million). Film distribution segment margins include a marketing recovery of $0.2 million for the three months ended March 31, 2017 (2016 — expense of $0.7 million).

Geographic Information

Revenue by geographic area is based on the location of the customer. Revenue related to IMAX DMR is presented based upon the geographic location of the theaters that exhibit the re-mastered films. IMAX DMR revenue is generated through contractual relationships with studios and other third parties and these may not be in the same geographical location as the theater.

 

     Three Months Ended  
     March 31,  
     2017      2016  

Revenue

     

United States

   $ 25,198      $ 35,544  

Canada

     3,282        7,077  

Greater China

     18,590        24,939  

Asia (excluding Greater China)

     8,429        5,559  

Western Europe

     5,813        11,486  

Russia & the CIS

     3,183        1,692  

Latin America

     1,654        3,527  

Rest of the World

     2,508        2,304  
  

 

 

    

 

 

 

Total

   $ 68,657      $ 92,128  
  

 

 

    

 

 

 

No single country in the Rest of the World, Western Europe, Latin America and Asia (excluding Greater China) classifications comprises more than 10% of the total revenue.

 

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14. Employee’s Pension and Postretirement Benefits

 

  (a) Defined Benefit Plan

The Company has an unfunded U.S. defined benefit pension plan (the “SERP”) covering Richard L. Gelfond, CEO of the Company.

The following table provides disclosure of the pension obligation for the SERP:

 

     March 31,      December 31,  
     2017      2016  

Projected benefit obligation:

     

Obligation, beginning of period

   $ 19,580      $ 19,478  

Interest cost

     107        261  

Actuarial gain

     —          (159
  

 

 

    

 

 

 

Obligation, end of period and unfunded status

   $ 19,687      $ 19,580  
  

 

 

    

 

 

 

The following table provides disclosure of pension expense for the SERP:

 

     Three Months Ended  
     March 31,  
     2017      2016  

Interest cost

   $ 107      $ 65  
  

 

 

    

 

 

 

Pension expense

   $ 107      $ 65  
  

 

 

    

 

 

 

No contributions are expected to be made for the SERP during the remainder of 2017. The Company expects interest costs of $0.3 million to be recognized as a component of net periodic benefit cost during the remainder of 2017.

The accumulated benefit obligation for the SERP was $19.7 million at March 31, 2017 (December 31, 2016 — $19.6 million).

The following benefit payments are expected to be made as per the current SERP assumptions and the terms of the SERP in each of the next 5 years, and in the aggregate:

 

2017 (nine months remaining)

   $ —    

2018

     —    

2019

     —    

2020

     21,115  

2021

     —    

Thereafter

     —    
  

 

 

 
   $ 21,115  
  

 

 

 

The SERP assumptions are that Mr. Gelfond will receive a lump sum payment six months after retirement at the end of the current term of his employment agreement (December 31, 2019), although Mr. Gelfond has not informed the Company that he intends to retire at that time.

 

  (b) Defined Contribution Pension Plan

The Company also maintains defined contribution plans for its employees, including its executive officers. The Company makes contributions to these plans on behalf of employees in an amount up to 5% of their base salary subject to certain prescribed maximums. During the three months ended March 31, 2017, the Company contributed and expensed an aggregate of $0.3 million (2016 — $0.4 million) to its Canadian defined contribution plan and an aggregate of $0.2 million (2016 — $0.2 million) to its defined contribution employee plan under Section 401(k) of the U.S. Internal Revenue Code.

 

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In September 2016, the Company entered into a new employment agreement with Greg Foster, CEO of IMAX Entertainment and

Senior Executive Vice President of the Company, which provides for an employment term from July 2, 2016 through July 2, 2019. Under the agreement, the Company agreed to create a deferred compensation plan (the “Retirement Plan”) covering Mr. Foster, and to make a total contribution of $3.2 million over the three-year employment term. The Retirement Plan is subject to a vesting schedule based on continued employment with the Company, such that 25% will vest July 2019; 50% will vest July 2022; 75% will vest July 2025; and Mr. Foster will be 100% vested in July 2027. As at March 31, 2017, the Company had an unfunded benefit obligation recorded of $0.8 million (December 31, 2016 — $0.5 million). The Company has expensed $0.3 million for the three months ended March 31, 2017 (2016 — $nil).

 

  (c) Postretirement Benefits—Executives

The Company has an unfunded postretirement plan for Mr. Gelfond and Bradley J. Wechsler, Chairman of the Company’s Board of Directors. The plan provides that the Company will maintain health benefits for Messrs. Gelfond and Wechsler until they become eligible for Medicare and, thereafter, the Company will provide Medicare supplement coverage as selected by Messrs. Gelfond and Wechsler. The postretirement benefits obligation as at March 31, 2017 is $0.7 million (December 31, 2016 — $0.6 million). The Company has expensed less than $0.1 million for the three months ended March 31, 2017 (2016 — less than $0.1 million).

The following benefit payments are expected to be made as per the current plan assumptions in each of the next 5 years:

 

2017 (nine months remaining)

   $ 21  

2018

     24  

2019

     26  

2020

     33  

2021

     36  

Thereafter

     514  
  

 

 

 

Total

   $ 654  
  

 

 

 

 

  (d) Postretirement Benefits – Canadian Employees

The Company has an unfunded postretirement plan for its Canadian employees upon meeting specific eligibility requirements. The Company will provide eligible participants, upon retirement, with health and welfare benefits. The postretirement benefits obligation as at March 31, 2017 is $1.8 million (December 31, 2016 — $1.7 million). The Company has expensed less than $0.1 million for the three months ended March 31, 2017 (2016 — less than $0.1 million).

The following benefit payments are expected to be made as per the current plan assumptions in each of the next 5 years:

 

2017 (nine months remaining)

   $ 92  

2018

     99  

2019

     105  

2020

     108  

2021

     110  

Thereafter

     1,244  
  

 

 

 

Total

   $ 1,758  
  

 

 

 

 

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15. Financial Instruments

 

  (a) Financial Instruments

The Company maintains cash with various major financial institutions. The Company’s cash is invested with highly rated financial institutions.

The Company’s accounts receivables and financing receivables are subject to credit risk. The Company’s accounts receivable and financing receivables are concentrated with the theater exhibition industry and film entertainment industry. To minimize the Company’s credit risk, the Company retains title to underlying theater systems leased, performs initial and ongoing credit evaluations of its customers and makes ongoing provisions for its estimate of potentially uncollectible amounts. The Company believes it has adequately provided for related exposures surrounding receivables and contractual commitments.

 

  (b) Fair Value Measurements

The carrying values of the Company’s cash and cash equivalents, accounts receivable, accounts payable and accrued liabilities due within one year approximate fair values due to the short-term maturity of these instruments. The Company’s other financial instruments are comprised of the following:

 

     As at March 31, 2017      As at December 31, 2016  
     Carrying      Estimated      Carrying      Estimated  
     Amount      Fair Value      Amount      Fair Value  

Cash and cash equivalents

   $ 190,481      $ 190,481      $ 204,759      $ 204,759  

Net financed sales receivable

   $ 112,682      $ 113,792      $ 114,041      $ 115,014  

Net investment in sales-type leases

   $ 7,808      $ 8,163      $ 8,084      $ 8,372  

Convertible loan receivable

   $ 1,000      $ 1,000      $ 1,000      $ 1,000  

Available-for-sale investment

   $ 1,000      $ 1,010      $ 1,000      $ 1,007  

Foreign exchange contracts — designated forwards

   $ 302      $ 302      $ (296    $ (296

Borrowings under the Playa Vista Loan

   $ (27,167    $ (27,167    $ (27,667    $ (27,667

Cash and cash equivalents are comprised of cash and interest-bearing investments with original maturity dates of 90 days or less. Cash and cash equivalents are recorded at cost, which approximates fair value (Level 1 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

The estimated fair values of the net financed sales receivable and net investment in sales-type leases are estimated based on discounting future cash flows at currently available interest rates with comparable terms (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

The estimated fair value of the Company’s convertible loan receivable is based on discounting future cash flows at currently available interest rates with comparable terms (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

The fair value of the Company’s available-for-sale investment is determined using quoted prices in active markets (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

The fair value of foreign currency derivatives is determined using quoted prices in active markets (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively. These identical instruments are traded on a closed exchange.

The carrying value of borrowings under the Playa Vista Loan approximates fair value as the interest rates offered under the Playa Vista Loan are close to March 31, 2017 market rates for the Company for debt of the same remaining maturities (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017.

 

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There were no significant transfers between Level 1 and Level 2 during the three months ended March 31, 2017 or 2016. When a determination is made to classify an asset or liability within Level 3, the determination is based upon the significance of the unobservable inputs to the overall fair value measurement. There were no transfers in or out of the Company’s level 3 assets during the three months ended March 31, 2017.

 

  (c) Financing Receivables

The Company’s net investment in leases and its net financed sale receivables are subject to the disclosure requirements of ASC 310 “Receivables”. Due to differing risk profiles of its net investment in leases and its net financed sales receivables, the Company views its net investment in leases and its net financed sale receivables as separate classes of financing receivables. The Company does not aggregate financing receivables to assess impairment.

The Company monitors the credit quality of each customer on a frequent basis through collections and aging analyses. The Company also holds meetings monthly in order to identify credit concerns and whether a change in credit quality classification is required for the customer. A customer may improve in their credit quality classification once a substantial payment is made on overdue balances or the customer has agreed to a payment plan with the Company and payments have commenced in accordance to the payment plan. The change in credit quality indicator is dependent upon management approval.

The Company classifies its customers into four categories to indicate the credit quality worthiness of its financing receivables for internal purposes only:

Good standing — Theater continues to be in good standing with the Company as the client’s payments and reporting are up-to-date.

Credit Watch — Theater operator has begun to demonstrate a delay in payments, and has been placed on the Company’s credit watch list for continued monitoring, but active communication continues with the Company. Depending on the size of outstanding balance, length of time in arrears and other factors, transactions may need to be approved by management. These financing receivables are considered to be in better condition than those receivables related to theaters in the “Pre-approved transactions” category, but not in as good of condition as those receivables in “Good standing.”

Pre-approved transactions only — Theater operator is demonstrating a delay in payments with little or no communication with the Company. All service or shipments to the theater must be reviewed and approved by management. These financing receivables are considered to be in better condition than those receivables related to theaters in the “All transactions suspended” category, but not in as good of condition as those receivables in “Credit Watch.” Depending on the individual facts and circumstances of each customer, finance income recognition may be suspended if management believes the receivable to be impaired.

All transactions suspended — Theater is severely delinquent, non-responsive or not negotiating in good faith with the Company. Once a theater is classified as “All transactions suspended” the theater is placed on nonaccrual status and all revenue recognitions related to the theater are stopped.

 

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The following table discloses the recorded investment in financing receivables by credit quality indicator:

 

     As at March 31, 2017      As at December 31, 2016  
     Minimum      Financed             Minimum      Financed         
     Lease      Sales             Lease      Sales         
     Payments      Receivables      Total      Payments      Receivables      Total  

In good standing

   $ 7,465      $ 110,249      $ 117,714      $ 7,741      $ 111,568      $ 119,309  

Credit Watch

     —          1,683        1,683        —          1,514        1,514  

Pre-approved transactions

     —          633        633        —          842        842  

Transactions suspended

     1,015        611        1,626        1,015        611        1,626  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 
   $ 8,480      $ 113,176      $ 121,656      $ 8,756      $ 114,535      $ 123,291  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

While recognition of finance income is suspended, payments received by a customer are applied against the outstanding balance owed. If payments are sufficient to cover any unreserved receivables, a recovery of provision taken on the billed amount, if applicable, is recorded to the extent of the residual cash received. Once the collectibility issues are resolved and the customer has returned to being in good standing, the Company will resume recognition of finance income.

The Company’s investment in financing receivables on nonaccrual status is as follows:

 

     As at March 31, 2017      As at December 31, 2016  
     Recorded      Related      Recorded      Related  
     Investment      Allowance      Investment      Allowance  

Net investment in leases

   $ 1,015      $ (672    $ 1,015      $ (672

Net financed sales receivables

     611        (494      611        (494
  

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 1,626      $ (1,166    $ 1,626      $ (1,166
  

 

 

    

 

 

    

 

 

    

 

 

 

The Company considers financing receivables with aging between 60-89 days as indications of theaters with potential collection concerns. The Company will begin to focus its review on these financing receivables and increase its discussions internally and with the theater regarding payment status. Once a theater’s aging exceeds 90 days, the Company’s policy is to review and assess collectibility on the theater’s past due accounts. Over 90 days past due is used by the Company as an indicator of potential impairment as invoices up to 90 days outstanding could be considered reasonable due to the time required for dispute resolution or for the provision of further information or supporting documentation to the customer.

 

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The Company’s aged financing receivables are as follows:

 

     As at March 31, 2017  
                                 Related                   Recorded  
     Accrued                    Billed      Unbilled      Total            Investment  
     and      30-89             Financing      Recorded      Recorded      Related     Net of  
     Current      Days      90+ Days      Receivables      Investment      Investment      Allowances     Allowances  

Net investment in leases

   $ 41      $ 94      $ 763      $ 898      $ 7,582      $ 8,480      $ (672   $ 7,808  

Net financed sales receivables

     1,884        2,379        2,879        7,142        106,035        113,176        (494     112,682  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Total

   $ 1,925      $ 2,473      $ 3,642      $ 8,040      $ 113,617      $ 121,656      $ (1,166   $ 120,490  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 
     As at December 31, 2016  
                                 Related                   Recorded  
     Accrued                    Billed      Unbilled      Total            Investment  
     and      30-89             Financing      Recorded      Recorded      Related     Net of  
     Current      Days      90+ Days      Receivables      Investment      Investment      Allowances     Allowances  

Net investment in leases

   $ 28      $ 159      $ 781      $ 968      $ 7,788      $ 8,756      $ (672   $ 8,084  

Net financed sales receivables

     2,393        1,724        2,368        6,485        108,050        114,535        (494     114,041  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

Total

   $ 2,421      $ 1,883      $ 3,149      $ 7,453      $ 115,838      $ 123,291      $ (1,166   $ 122,125  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

   

 

 

 

The Company’s recorded investment in past due financing receivables for which the Company continues to accrue finance income is as follows:

 

     As at March 31, 2017  
                                 Related             Recorded  
     Accrued                    Billed      Unbilled             Investment  
     and      30-89             Financing      Recorded      Related      Past Due  
     Current      Days      90+ Days      Receivables      Investment      Allowance      and Accruing  

Net investment in leases

   $ 38      $ 61      $ 293      $ 392      $ 2,237      $ —        $ 2,629  

Net financed sales receivables

     146        968        2,280        3,394        25,876        —          29,270  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 184      $ 1,029      $ 2,573      $ 3,786      $ 28,113      $ —        $ 31,899  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 
     As at December 31, 2016  
                                 Related             Recorded  
     Accrued                    Billed      Unbilled             Investment  
     and      30-89             Financing      Recorded      Related      Past Due  
     Current      Days      90+ Days      Receivables      Investment      Allowance      and Accruing  

Net investment in leases

   $ —        $ 54      $ 244      $ 298      $ 1,646      $ —        $ 1,944  

Net financed sales receivables

     284        634        1,854        2,772        20,147        —          22,919  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Total

   $ 284      $ 688      $ 2,098      $ 3,070      $ 21,793      $ —        $ 24,863  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

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The Company considers financing receivables to be impaired when it believes it to be probable that it will not recover the full amount of principal or interest owing under the arrangement. The Company uses its knowledge of the industry and economic trends, as well as its prior experiences to determine the amount recoverable for impaired financing receivables. The following table discloses information regarding the Company’s impaired financing receivables:

 

     For the Three Months Ended March 31, 2017  
                         Average      Interest  
     Recorded      Unpaid      Related     Recorded      Income  
     Investment      Principal      Allowance     Investment      Recognized  
Recorded investment for which there is a related allowance:              

Net financed sales receivables

   $ 525      $ 75      $ (494   $ 525      $ —    
Recorded investment for which there is no related allowance:              

Net financed sales receivables

     —          —          —         —          —    
Total recorded investment in impaired loans:              
  

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

Net financed sales receivables

   $ 525      $ 75      $ (494   $ 525      $ —    
  

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 
     For the Three Months Ended March 31, 2016  
                         Average      Interest  
     Recorded      Unpaid      Related     Recorded      Income  
     Investment      Principal      Allowance     Investment      Recognized  
Recorded investment for which there is a related allowance:              

Net financed sales receivables

   $ 748      $ 414      $ (643   $ 748      $ —    
Recorded investment for which there is no related allowance:              

Net financed sales receivables

     —          —          —         —          —    
Total recorded investment in impaired loans:              
  

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

Net financed sales receivables

   $ 748      $ 414      $ (643   $ 748      $ —    
  

 

 

    

 

 

    

 

 

   

 

 

    

 

 

 

The Company’s activity in the allowance for credit losses for the period and the Company’s recorded investment in financing receivables are as follows:

 

     Three Months Ended March 31, 2017      Three Months Ended March 31, 2016  
     Net Investment      Net Financed      Net Investment      Net Financed  
     in Leases      Sales Receivables      in Leases      Sales Receivables  
Allowance for credit losses:            

Beginning balance

   $ 672      $ 494      $ 672      $ 568  

Charge-offs

     —          —          —          —    

Recoveries

     —          —          —          —    

Provision

     —          —          —          75  
  

 

 

    

 

 

    

 

 

    

 

 

 

Ending balance

   $ 672      $ 494      $ 672      $ 643  
  

 

 

    

 

 

    

 

 

    

 

 

 

Ending balance: individually evaluated for impairment

   $ 672      $ 494      $ 672      $ 643  
  

 

 

    

 

 

    

 

 

    

 

 

 
Financing receivables:            

Ending balance: individually evaluated for impairment

   $ 8,480      $ 113,176      $ 10,577      $ 110,387  
  

 

 

    

 

 

    

 

 

    

 

 

 

 

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  (d) Foreign Exchange Risk Management

The Company is exposed to market risk from changes in foreign currency rates. A majority portion of the Company’s revenues is denominated in U.S. dollars while a substantial portion of its costs and expenses is denominated in Canadian dollars. A portion of the net U.S. dollar cash flows of the Company is periodically converted to Canadian dollars to fund Canadian dollar expenses through the spot market. In China and Japan the Company has ongoing operating expenses related to its operations in Chinese Renminbi and Japanese yen, respectively. Net cash flows are converted to and from U.S. dollars through the spot market. The Company also has cash receipts under leases denominated in Chinese Renminbi, Japanese yen, Canadian dollars and Euros which are converted to U.S. dollars through the spot market. In addition, because IMAX films generate box-office in 75 different countries, unfavourable exchange rates between applicable local currencies, and the U.S. dollar affect the Company’s reported gross box-office and revenues, further impacting the Company’s results of operations. The Company’s policy is to not use any financial instruments for trading or other speculative purposes.

The Company entered into a series of foreign currency forward contracts to manage the Company’s risks associated with the volatility of foreign currencies. Certain of these foreign currency forward contracts met the criteria required for hedge accounting under the Derivatives and Hedging Topic of the FASB ASC at inception, and continue to meet hedge effectiveness tests at March 31, 2017 (the “Foreign Currency Hedges”), with settlement dates throughout 2017 and 2018. Foreign currency derivatives are recognized and measured in the balance sheet at fair value. Changes in the fair value (gains or losses) are recognized in the condensed consolidated statements of operations except for derivatives designated and qualifying as foreign currency cash flow hedging instruments. For foreign currency cash flow hedging instruments, the effective portion of the gain or loss in a hedge of a forecasted transaction is reported in other comprehensive income and reclassified to the condensed consolidated statements of operations when the forecasted transaction occurs. Any ineffective portion is recognized immediately in the condensed consolidated statements of operations. The Company currently does not hold any derivatives which are not designated as hedging instruments.

The following tabular disclosures reflect the impact that derivative instruments and hedging activities have on the Company’s condensed consolidated financial statements:

Notional value of foreign exchange contracts:

 

     March 31,      December 31,  
     2017      2016  

Derivatives designated as hedging instruments:

     

Foreign exchange contracts — Forwards

   $ 39,802      $ 37,825  
  

 

 

    

 

 

 

Fair value of derivatives in foreign exchange contracts:

 

          March 31,     December 31,  
    

Balance Sheet Location

   2017     2016  

Derivatives designated as hedging instruments:

       

Foreign exchange contracts — Forwards

  

Other assets

   $ 604     $ 480  
   Accrued and other liabilities      (302     (776
     

 

 

   

 

 

 
      $ 302     $ (296
     

 

 

   

 

 

 

 

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Derivatives in Foreign Currency Hedging relationships for the three months ended March 31:

 

          Three Months Ended March 31,  
          2017     2016  

Foreign exchange contracts — Forwards

  

Derivative Gain

    
   Recognized in OCI     
   (Effective Portion)    $ 313     $ 2,207  
     

 

 

   

 

 

 
     Location of Derivative Loss             
     Reclassified from AOCI    Three Months Ended March 31,  
    

into Income (Effective Portion)

   2017     2016  

Foreign exchange contracts — Forwards

  

Selling, general and

    
   administrative expenses    $ (285   $ (1,277
     

 

 

   

 

 

 
          Three Months Ended March 31,  
          2017     2016  

Foreign exchange contracts—Forwards

  

Derivative Loss

    
   Recognized In and Out of     
   OCI (Effective Portion)    $ (47   $ —    
     

 

 

   

 

 

 

The Company’s estimated net amount of the existing gains as at March 31, 2017 is $0.4 million, which is expected to be reclassified to earnings within the next twelve months

 

  (e) Investments in New Business Ventures

The Company accounts for investments in new business ventures using the guidance of the FASB ASC 323 or FASB ASC 320, as appropriate. As at March 31, 2017, the equity method of accounting is being utilized for an investment with a carrying value of $nil (December 31, 2016 — $nil). The Company’s accumulated losses in excess of its equity investment were $0.7 million as at March 31, 2017, and are classified in Accrued and other liabilities. For the three months ended March 31, 2017, gross revenues, cost of revenue and net loss for the Company’s investments were $0.2 million, $0.9 million and $0.7 million, respectively (2016 — $0.4 million, $2.2 million and $1.8 million, respectively). The Company has determined it is not the primary beneficiary of this VIE, and therefore this entity has not been consolidated. In 2016, the Company issued a convertible loan of $1.0 million to this entity with a term of 3 years with an annual effective interest rate of 5.0%. The instrument is classified as an available-for-sale investment due to certain features that allow for conversion to common stock in the entity in the event of certain triggers occurring. In addition, the Company has an investment in preferred stock of another business venture of $1.5 million which meet the criteria for classification as a debt security under the FASB ASC 320 and is recorded at a fair value of $nil at March 31, 2017 (December 31, 2016 — $nil). This investment was classified as an available-for-sale investment. Furthermore, the Company has an investment of $1.0 million (December 31, 2016 — $1.0 million) in the shares of an exchange traded fund. This investment is also classified as an available-for-sale investment. As at March 31, 2017, the Company held investments with a total value of $3.5 million in the preferred shares of enterprises which meet the criteria for classification as an equity security under FASB ASC 325, carried at historical cost, net of impairment charges. The carrying value of these equity security investments was $1.0 million at March 31, 2017 (December 31, 2016 — $nil). The total carrying value of investments in new business ventures at March 31, 2017 is $3.0 million (December 31, 2016 — $2.0 million) and is recorded in Other assets.

 

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16. Non-Controlling Interests

 

  (a) IMAX China Non-Controlling Interest

On April 8, 2014, the Company announced sale and issuance of 20% of the shares of IMAX China to entities owned and controlled by CMC Capital Partners (“CMC”), an investment fund that is focused on media and entertainment, and FountainVest Partners (“FountainVest”), a China-focused private equity firm. The sale price for the interest was $80.0 million, and was paid by the investors in two equal installments on April 8, 2014 and February 10, 2015.

On October 8, 2015, IMAX China completed the IMAX China IPO. Following the IMAX China IPO, the Company continues to indirectly own approximately 68.2% of IMAX China, which remains a consolidated subsidiary of the Company. On October 15, 2015, in satisfaction of its obligations under the shareholders’ agreement, IMAX China paid a dividend of $9.5 million to the non-controlling interest shareholders.

The following summarizes the movement of the non-controlling interest in shareholders’ equity, in the Company’s subsidiary for the three months ended March 31, 2017:

 

Balance as at December 31, 2016

   $ 59,562  

Net income

     1,463  

Other comprehensive loss

     146  
  

 

 

 

Balance as at March 31, 2017

   $ 61,171  
  

 

 

 

 

  (b) Other Non-Controlling Interest

In 2014, the Company announced the creation of the Film Fund to co-finance a portfolio of 10 original large-format films. The Film Fund, which is intended to be capitalized with up to $50.0 million, will finance an ongoing supply of original films that the Company believes will be more exciting and compelling than traditional documentaries. The initial investment in the Film Fund was committed to by a third party in the amount of $25.0 million, with the possibility of contributing additional funds. The Company agreed to contribute $9.0 million to the Film Fund over five years starting in 2014 and sees the Film Fund as a self-perpetuating vehicle designed to generate a continuous, steady flow of high-quality documentary content. As at March 31, 2017, the Film Fund invested $13.4 million toward the development of original films. The related production, financing and distribution agreement includes put and call rights relating to change of control of the rights, title and interest in the co-financed pictures.

The following summarizes the movement of the non-controlling interest in temporary equity, in the Company’s subsidiary for the three months ended March 31, 2017:

 

Balance as at December 31, 2016

   $ 4,980  

Net loss

     (2,425
  

 

 

 

Balance as at March 31, 2017

   $ 2,555  
  

 

 

 

 

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IMAX CORPORATION

Item 2. Management’s Discussion and Analysis of Financial Condition and Results of Operations

OVERVIEW

IMAX Corporation, together with its consolidated subsidiaries (the “Company”), is one of the world’s leading entertainment technology companies, specializing in motion picture technologies and presentations. The Company refers to all theaters using the IMAX theater system as “IMAX theaters”. IMAX offers a unique end-to-end cinematic solution combining proprietary software, theater architecture and equipment to create the highest-quality, most immersive motion picture experience for which the IMAX® brand has become known globally. Top filmmakers and studios utilize IMAX theaters to connect with audiences in innovative ways, and, as such, IMAX’s network is among the most important and successful theatrical distribution platforms for major event films around the world. There were 1,226 IMAX theater systems (1,121 commercial multiplexes, 14 commercial destinations, 91 institutional) operating in 75 countries as of March 31, 2017. This compares to 1,066 theater systems (952 commercial multiplexes, 17 commercial destinations, 97 institutional) operating in 68 countries as of March 31, 2016.

The Company’s core business consists of:

 

    the Digital Re-Mastering (“DMR”) of films into the IMAX format for exhibition in the IMAX theater network in exchange for a certain percentage of contingent box-office receipts from both studios and exhibition partners; and

 

    the provision of IMAX premium theater systems (“IMAX theater systems”) to exhibitor customers through sales, long-term leases or under joint revenue sharing arrangements.

IMAX theater systems are based on proprietary and patented technology developed over the course of the Company’s 50-year history and combine:

 

    ability to exhibit content that has undergone IMAX DMR movie conversion, which results in higher image and sound fidelity than conventional cinema experiences;

 

    advanced, high-resolution projectors with specialized equipment and automated theater control systems, which generate significantly more contrast and brightness than conventional theater systems;

 

    large screens and proprietary theater geometry, which result in a substantially larger field of view so that the screen extends to the edge of a viewer’s peripheral vision and creates more realistic images;

 

    sound system components, which deliver more expansive sound imagery and pinpointed origination of sound to any specific spot in an IMAX theater; and

 

    specialized theater acoustics, which result in a four-fold reduction in background noise.

Together these components cause audiences in IMAX theaters to feel as if they are a part of the on-screen action, creating a more intense, immersive and exciting experience than in a traditional theater.

As a result of the immersiveness and superior image and sound quality of The IMAX Experience, the Company’s exhibitor customers typically charge a premium for IMAX DMR films over films exhibited in their other auditoriums. The premium pricing, combined with the higher attendance levels associated with IMAX DMR films, generates incremental box-office for the Company’s exhibitor customers and for the movie studios releasing their films to the IMAX network. The incremental box-office generated by IMAX DMR films has helped establish IMAX as a key premium distribution and marketing platform for Hollywood blockbuster films. Driven by the advent of digital technology that reduced the IMAX DMR conversion time and with the strengthening of the Company’s relationships with the major studios, the number of IMAX DMR films released to the theater network per year has increased significantly in recent years. The Company released 51 IMAX DMR films in 2016 and expects to release a similar number of IMAX DMR films in 2017.

As one of the world’s leaders in entertainment technology, the Company strives to remain at the forefront of advancements in cinema technology. To that end, the Company introduced its next-generation laser-based digital projection system at the end of 2014. The Company believes that the IMAX laser-based projectors present greater brightness and clarity, higher contrast, a wider color gamut and deeper blacks, and consume less power and last longer than existing digital technology. The laser projection solution is the first IMAX digital projection system capable of illuminating the largest screens in its network. As at March 31, 2017, 40 laser-based digital systems were operational. The Company is in the process of developing a commercial laser-based digital projection system designed for IMAX theaters in multiplexes.

 

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NEW BUSINESS INITIATIVES

The Company is exploring new lines of business outside of its core business, with a focus on investments in original content, alternative location-based entertainment experiences, as well as premium IMAX home entertainment technologies and services.

Original Content

In November 2016, the Company announced an agreement with Marvel Television Inc. (“Marvel”) and Disney|ABC Television Group to co-produce and exclusively premiere theatrically the new television series “Marvel’s Inhumans” in IMAX theaters. Under the agreement, the first two episodes of the series are expected to run worldwide exclusively in IMAX theaters for two weeks in September 2017. Several weeks later, the series will premiere on the ABC network in the U.S. and across other networks internationally. In connection with the Company’s investment in the series, the Company will have an equity participation across the venture, including in the theatrical and television platforms. This agreement marks the first time a live-action television series has debuted in this manner, and the first time the Company has an economic interest in a television property.

The Company has also created two film funds to help finance the production of original content. In 2015, the Company announced the creation of the IMAX China Film Fund (the “China Film Fund”) with its subsidiary IMAX China, its partner CMC and several other large investors to help fund Mandarin language commercial films. The China Film Fund, which is expected initially to be capitalized with over $100.0 million, will target productions that can leverage the Company’s brand, relationships, technology and release windows in China. The China Film Fund is expected to co-finance approximately 15 Mandarin-language tent-pole films over three years, and will target contributions of between $3.0 million and $7.0 million per film. The China Film Fund will operate under an IMAX China-CMC controlled greenlight committee.

In addition, the Company’s IMAX Original Film Fund (the “Film Fund”) was established in 2014 to co-finance a portfolio of 10 original large format films. The Film Fund, which is intended to be capitalized with up to $50.0 million, will finance an ongoing supply of original films that the Company believes will be more exciting and compelling than traditional documentaries. The initial investment in the Film Fund was committed to by a third party in the amount of $25.0 million, with the possibility of contributing additional funds. The Company agreed to contribute $9.0 million to the Film Fund over five years starting in 2014 and sees the Film Fund as a self-perpetuating vehicle designed to generate a continuous flow of high-quality documentary content. As at March 31, 2017, the Film Fund has invested $13.4 million toward the development of original films.

Virtual Reality

In the second quarter of 2016, the Company announced its comprehensive virtual reality (“VR”) strategy to develop a premium, location-based VR offering that will deliver immersive, multi-dimensional experiences, including entertainment content and games, to branded VR centers (“IMAX VR Centers”). IMAX VR Centers are expected to be located in both stand-alone venues as well as multiplexes, malls and other commercial destinations, and will be retrofitted with proprietary VR pods that permit interactive, moveable VR experiences. The Company’s VR initiative is premised on a unique combination of premium content, proprietary design and best-in-class technology.

In January 2017, the Company launched its flagship pilot IMAX VR Center in Los Angeles and has signed agreements for additional IMAX VR Center pilots, including in China, the United States and the United Kingdom, which are scheduled to open in the coming months. The Company plans to use these pilot locations to test several factors including the overall customer experience, pricing models, throughput, types of content featured and differences in geographic areas. If successful, the Company’s intent is to roll out IMAX VR Centers globally.

In order to deliver high quality content to the IMAX VR Centers, the Company has partnered with Google to design and develop a cinema-grade IMAX VR camera, which will enable filmmakers and content creators to capture and deliver high-quality, 360-degree content experiences to audiences. In addition, the Company recently announced the creation of a virtual reality fund (the “VR Fund”) among the Company, its subsidiary IMAX China Holding Inc. (“IMAX China”) and other strategic investors. The VR Fund will help finance the creation of an estimated 25-30 interactive VR content experiences over the next three years for use across all VR platforms, including in the IMAX VR Centers. The VR Fund will target premium productions with its Hollywood studio and filmmaker partners, as well as gaming publishers and other leading content developers. To further supplement these content experiences, in March 2017, the Company and Warner Bros. Home Entertainment announced a new VR co-financing and production agreement to develop and release three premium, interactive VR experiences based on some of Warner Bros. Pictures’ most highly anticipated upcoming blockbuster films, including Justice League, Aquaman and a third experience that has yet to be announced. The companies plan to launch one experience each year, beginning with Justice League VR in late 2017, and the experiences will receive an exclusive release window in IMAX VR Centers before being made available to other VR platforms.

 

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Through its VR initiative, the Company sees a unique opportunity to combine premium equipment, more robust computing power, and specially designed spaces to create a highly differentiated, destination-based VR experience that will draw consumers out of their homes, similar to the strategy it has successfully employed in the cinema space.

IMAX Home Entertainment Technologies and Services

With respect to IMAX home entertainment, the Company has announced home theater initiatives, including a joint venture with TCL Multimedia Technology Holding Limited (“TCL”) to design, develop, manufacture and sell a premium home theater system. Since 2013, the joint venture has signed agreements with end users for the sale of more than 140 premium home theater systems, and has signed agreements with distributors for the sale of more than 500 home theater systems. Beyond its premium home theater, the Company is also currently developing other components of broader home entertainment platform designed to allow consumers to experience elements of The IMAX Experience® in their homes.

SOURCES OF REVENUE

The primary revenue sources for the Company can be categorized into four main groups: network business, theater business, new business and other.

The network business includes variable revenues that are primarily derived from film studios and exhibitors. Under the Company’s DMR arrangements, the Company provides digital re-mastering services to studios in exchange for a percentage of contingent box office receipts. Under joint revenue sharing arrangements, the Company provides IMAX theater systems to exhibitors and also receives a percentage of contingent box-office receipts. In addition, certain of the Company’s sales and sales-type leases require customers to make contingent rent payments that are tied to box office performance, and this contingent rent is included in the network business.

The theater business includes fixed revenues that are primarily derived from theater exhibitors through either a sale or sales-type lease arrangement. Sales and sales-type lease arrangements typically require fixed upfront and annual minimum payments. The theater business side also includes fixed revenues that are required under the Company’s hybrid theater systems from the joint revenue sharing arrangements segment. In addition, theater exhibitors also pay for associated maintenance, extended warranty services and the provision of aftermarket parts of its system components, and these revenues are included in the theater business.

New business includes revenue in connection with the Company’s original content and VR initiatives, IMAX Home Entertainment and other business initiatives that are in the development and/or start-up phase.

The Company also derives a small portion of other revenues from the film studios for provision of film production services, operation of its owned and operated theaters and camera rentals.

The Company believes that separating the fixed price revenues from the variable sources of revenue, as well as isolating its non-core new business initiatives, provides valuable information about the Company’s performance.

Network Business: Digital Re-Mastering (IMAX DMR) and Joint Revenue Sharing Arrangements

Digital Re-Mastering (IMAX DMR)

The Company has developed a proprietary technology, known as IMAX DMR, to digitally re-master Hollywood films into IMAX digital cinema package format or 15/70-format film for exhibition in IMAX theaters at a modest cost that is incurred by the Company. IMAX DMR digitally enhances the image resolution of motion picture films for projection on IMAX screens while maintaining or enhancing the visual clarity and sound quality to levels for which The IMAX Experience is known. In a typical IMAX DMR film arrangement, the Company receives a percentage, which in recent years has averaged approximately 12.5%, of net box-office receipts, defined as gross box office receipts less applicable sales taxes, of any commercial films released outside of Greater China in return for converting them to the IMAX DMR format and distributing them through the IMAX theater network. Within Greater China, the Company receives a lower percentage of box-office receipts for certain films.

 

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IMAX films also benefit from enhancements made by individual filmmakers exclusively for the IMAX release, and filmmakers and studios have sought IMAX-specific enhancements in recent years to generate interest in and excitement for their films. Such enhancements include shooting selected scenes with IMAX cameras to increase the audience’s immersion in the film and taking advantage of the unique dimensions of the IMAX screen by shooting the film in a larger aspect ratio. Several recent films have featured select sequences shot with IMAX cameras including Transformers: The Last Knight: An IMAX 3D Experience, to be released in June 2017, Dunkirk: The IMAX Experience, to be released in July 2017, Star Wars: The Last Jedi: An IMAX 3D Experience, to be released in December 2017, Batman v Superman: Dawn of Justice: An IMAX 3D Experience, released in March 2016; Captain America: Civil War: An IMAX 3D Experience, released in May 2016, among others. In addition, Marvel’s Avengers: Infinity War – Part 1: An IMAX 3D Experience and Avengers: Infinity War – Part 2: An IMAX 3D Experience are expected to be shot in their entireties using the IMAX camera, which is the second time a full feature length movie will be filmed with the IMAX cameras. Sully: The IMAX Experience, released in August 2016, was shot with IMAX cameras for a majority of the film.

The original soundtrack of a film to be released to the IMAX theater network is re-mastered for the IMAX digital sound systems in connection with the IMAX DMR release. Unlike the soundtracks played in conventional theaters, IMAX re-mastered soundtracks are uncompressed and full fidelity. IMAX sound systems use proprietary loudspeaker systems and proprietary surround sound configurations that ensure every theater seat is in a good listening position.

The Company believes that the growth in international box-office is an important driver of future growth for the Company. During three months ended March 31, 2017, 64.7% of the Company’s gross box-office from IMAX DMR films was generated in international markets, as compared to 59.3% in the three months ended March 31, 2016. To support growth in international markets, the Company has sought to bolster its international film strategy, supplementing the Company’s film slate of Hollywood DMR titles with appealing local IMAX DMR releases in select markets. During 2016, 12 local language IMAX DMR films, including nine in China, two in Russia and one in Japan were released to the IMAX theater network. During the three months ended March 31, 2017, two local language IMAX DMR films, including one in China and one in Russia were released to the IMAX theater network. The Company expects to announce additional local language IMAX DMR films to be released to the IMAX theater network in the remainder of 2017 and beyond.

In addition to the 12 IMAX DMR films released to the IMAX theater network during the first three months ended March 31, 2017, 17 additional IMAX DMR films have been announced so far to be released in the remainder of 2017:

 

    The Fate of the Furious: The IMAX Experience (Universal Pictures, April 2017);

 

    Guardians of the Galaxy Vol. 2: The IMAX Experience (Walt Disney Studios, April 2017);

 

    Baahubali 2: The Conclusion: The IMAX Experience (Arka Media, April 2017, India and select markets);

 

    Alien: Covenant: The IMAX Experience (20th Century Fox, May 2017);

 

    Pirates of the Caribbean: Dead Men Tell No Tales: The IMAX Experience (Walt Disney Studios, May 2017);

 

    Wonder Woman: The IMAX Experience (Warner Bros. Pictures, June 2017);

 

    The Mummy: The IMAX Experience (Universal Pictures, June 2017);

 

    Transformers: The Last Knight: The IMAX Experience (Paramount Pictures, June 2017);

 

    Spider-Man: Homecoming: The IMAX Experience (Sony Pictures-distributed and Marvel Studios and Sony Pictures- produced, July 2017);

 

    Dunkirk: The IMAX Experience (Warner Bros. Pictures, July 2017);

 

    The Solutrean: The IMAX Experience (Sony Pictures, September 2017);

 

    The Lego Ninjago Movie: The IMAX Experience (Warner Bros. Pictures, September 2017);

 

    Blade Runner 2049: The IMAX Experience (Warner Bros. Pictures, October 2017);

 

    Geostorm: The IMAX Experience (Warner Bros. Pictures, October 2017);

 

    Thor: Ragnarök: The IMAX Experience (Walt Disney Studios, October 2017);

 

    Justice League: The IMAX Experience (Warner Bros. Pictures, November 2017); and

 

    Star Wars: The Last Jedi: The IMAX Experience (Walt Disney Studios, December 2017).

In addition, in conjunction with Marvel and Disney|ABC Television Group, the Company will be co-producing and exclusively premiering theatrically the new television series “Marvel’s Inhumans” in IMAX theaters. The first two episodes of the series are expected to run worldwide exclusively in IMAX theaters for two weeks in September 2017, and several weeks later, the series will premiere on the ABC network. The Company will have an equity participation across the venture, including in the theatrical and television platforms, representing the first time the Company will have an economic interest in a television property.

 

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To date, the Company has announced the following 16 titles to be released in 2018 to the IMAX theater network:

 

    Maze Runner: The Death Cure: The IMAX Experience (20th Century Fox, January 2018);

 

    Predator: The IMAX Experience (20th Century Fox, February 2018);

 

    Marvel’s Black Panther: The IMAX Experience (Walt Disney Studios, February 2018);

 

    Untitled Marvel Movie: The IMAX Experience (20th Century Fox, March 2018);

 

    Tomb Raider: The IMAX Experience (Warner Bros. Pictures, March 2018);

 

    Robin Hood: The IMAX Experience (Lionsgate, March 2018);

 

    Ready Player One: The IMAX Experience (Warner Bros. Pictures, March 2018);

 

    Rampage: The IMAX Experience (Warner Bros. Pictures, April 2018);

 

    Avengers: Infinity War: The IMAX Experience (Walt Disney Studios, April 2018);

 

    Untitled Han Solo Star Wars Anthology: The IMAX Experience (Walt Disney Studios, May 2018);

 

    Jurassic World Sequel: The IMAX Experience (Universal Pictures, June 2018);

 

    The Incredibles 2: The IMAX Experience (Walt Disney Studios, June 2018);

 

    Ant-Man and The Wasp: The IMAX Experience (Walt Disney Studios, July 2018);

 

    Alita: Battle Angel: The IMAX Experience (20th Century Fox, July 2018);

 

    Aquaman: The IMAX Experience (Warner Bros. Pictures, October 2018); and

 

    Fantastic Beasts and Where to Find Them 2: The IMAX Experience (Warner Bros. Pictures, November 2018).

The Company remains in active negotiations with all of the major Hollywood studios for additional films to fill out its short and long-term film slate, and anticipates that the number of IMAX DMR films to be released to the IMAX network in 2017 will be similar to the 51 IMAX DMR films released to the IMAX network in 2016.

Joint Revenue Sharing Arrangements — Contingent Rent

The Company provides IMAX theater systems to certain of its customers under joint revenue sharing arrangements (“JRSA”). The Company has two basic types of joint revenue sharing arrangements: traditional and hybrid.

Under a traditional joint revenue sharing arrangement, the Company provides the IMAX theater system in return for a portion of the customer’s IMAX box-office receipts and, in some cases, concession revenues, rather than requiring the customer to pay a fixed upfront payment or annual minimum payments, as would be required under a sales or sales-type lease arrangement. Payments, which are based on box-office receipts, are required throughout the term of the arrangement and are due either monthly or quarterly. Certain maintenance and extended warranty services are provided to the customer for a separate fixed annual fee. The Company retains title to the theater system equipment components, and the equipment is returned to the Company at the conclusion of the arrangement.

Under a hybrid joint revenue sharing arrangement, by contrast, the customer is responsible for making upfront payments prior to the delivery and installation of the IMAX theater system in an amount that is typically half of what the Company would receive from a straight sale transaction. As with a traditional joint revenue sharing arrangement, the customer also pays the Company a portion of the customer’s IMAX box-office receipts over the term of the arrangement, although the percentage of box-office receipts owing to the Company is typically half that of a traditional joint revenue sharing arrangement. The fixed revenues under a hybrid joint revenue sharing arrangement are reported in the Company’s theater business operations, while the contingent box-office receipts are included in the Company’s network business operations.

Under the significant majority of joint revenue sharing arrangements (both traditional and hybrid), the initial non-cancellable term of IMAX theater systems is 10 years or longer, and is renewable by the customer for one to two additional terms of between three to five years. The Company has the right to remove the equipment for non-payment or other defaults by the customer. The contracts are non-cancellable by the customer unless the Company fails to perform its obligations.

The introduction of joint revenue sharing arrangements has been an important factor in the expansion of the Company’s commercial theater network. Joint revenue sharing arrangements allow commercial theater exhibitors to install IMAX theater systems without the significant initial capital investment required in a sale or sales-type lease arrangement. Joint revenue sharing arrangements drive recurring cash flows and earnings for the Company, as customers under joint revenue sharing arrangements pay the Company a portion of their ongoing box-office. The Company funds its joint revenue sharing arrangements through cash flows from operations. As at March 31, 2017, the Company had 649 theaters in operation under joint revenue sharing arrangements, a 21.5% increase as compared to the 534 joint revenue sharing arrangements open as at March 31, 2016. The Company also had contracts in backlog for an additional 348 theaters under joint revenue sharing arrangements as at March 31, 2017.

 

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The revenue earned from customers under the Company’s joint revenue sharing arrangements can vary from quarter to quarter and year to year based on a number of factors including film performance, the mix of theater system configurations, the timing of installation of these theater systems, the nature of the arrangement, the location, size and management of the theater and other factors specific to individual arrangements.

IMAX systems — Contingent Rent

The Company’s sales and sales type lease arrangements include contingent rent in excess of fixed minimum ongoing payments. This contingent rent, which is included in the Company’s network business operations, is recognized after the fixed minimum amount per annum is exceeded as driven by box-office performance. Contingent payments in excess of fixed minimum ongoing payments of sales or sales type lease arrangements are recognized as revenue when reported by theater operators, provided collectibility is reasonably assured. In addition, contingent rent includes amounts realized for changes in rent and maintenance payments which are indexed to a local consumer price index.

Theater Business: IMAX Systems, Theater System Maintenance and fixed fees from Joint Revenue Sharing Arrangements

IMAX Systems

The Company also provides IMAX theater systems to customers on a sales or long-term lease basis, typically with an initial 10-year term. These agreements typically require the payment of initial fees and ongoing fees (which can include a fixed minimum amount per annum and contingent fees in excess of the minimum payments), as well as maintenance and extended warranty fees. The initial fees vary depending on the system configuration and location of the theater. Initial fees are paid to the Company in installments between the time of system signing and the time of system installation, which is when the total of these fees, in addition to the present value of future annual minimum payments, are recognized as revenue. Ongoing fees are paid over the term of the contract, commencing after the theater system has been installed, and is a fixed minimum amount per annum. Finance income is derived over the term of a financed sale or sales-type lease arrangement as the unearned income on that financed sale or sales-type lease is earned. Certain maintenance and extended warranty services are provided to the customer for a separate fixed annual fee.

Under the Company’s sales agreements, title to the theater system equipment components passes to the customer. In certain instances, however, the Company retains title or a security interest in the equipment until the customer has made all payments required under the agreement. Under the terms of a sales-type lease agreement, title to the theater system equipment components remains with the Company. The Company has the right to remove the equipment for non-payment or other defaults by the customer.

The revenue earned from customers under the Company’s theater system sales or lease agreements varies from quarter to quarter and year to year based on a number of factors, including the number and mix of theater system configurations sold or leased, the timing of installation of the theater systems, the nature of the arrangement and other factors specific to individual contracts.

Joint Revenue Sharing Arrangements — Fixed Fees

As discussed in joint revenue sharing arrangements above, under a hybrid joint revenue sharing arrangement the customer is responsible for making upfront payments prior to the delivery and installation of the IMAX theater system in an amount that is typically half of what the Company would receive from a straight sale transaction. These upfront payments are included in the Company’s theater business operations.

Theater System Maintenance

For all IMAX theaters, theater owners or operators are also responsible for paying the Company an annual maintenance and extended warranty fee. Under these arrangements, the Company provides proactive and emergency maintenance services to every theater in its network to ensure that each presentation is up to the highest IMAX quality standard. Annual maintenance fees are paid throughout the duration of the term of the theater agreements.

Other Theater Revenues

Additionally, the Company generates revenues from the sale of after-market parts and 3D glasses.

 

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Revenue from theater business arrangements is recognized at a different time from when cash is collected. See “Critical Accounting Policies” in Item 1 of the Company’s Form 10-K for the year ended December 31, 2016 (the “2016 Form 10-K”) for further discussion on the Company’s revenue recognition policies.

IMAX Theater Network

The following table outlines the breakdown of the theater network by type and geographic location as at March 31:

 

     2017 Theater Network Base      2016 Theater Network Base  
     Commercial
Multiplex
     Commercial
Destination
     Institutional      Total      Commercial
Multiplex
     Commercial
Destination
     Institutional      Total  

United States

     351        5        40        396        344        5        45        394  

Canada

     37        2        7        46        37        2        7        46  

Greater China(1)

     416        —          17        433        295        —          17        312  

Asia (excluding Greater China)

     95        2        3        100        81        3        5        89  

Western Europe

     76        4        10        90        70        6        10        86  

Russia & the CIS

     57        —          —          57        48        —          —          48  

Latin America(2)

     38        —          12        50        37        —          11        48  

Rest of the World

     51        1        2        54        40        1        2        43  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Total

     1,121        14        91        1,226        952        17        97        1,066  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

(1) Greater China includes China, Hong Kong, Taiwan and Macau.

(2) Latin America includes South America, Central America and Mexico.

As of March 31, 2017, 36.1% of IMAX systems in operation were located in the United States and Canada compared to 41.3% as at March 31, 2016.

To minimize the Company’s credit risk, the Company retains title to the underlying theater systems under lease arrangements, performs initial and ongoing credit evaluations of its customers and makes ongoing provisions for its estimates of potentially uncollectible amounts.

The Company currently believes that over time its commercial multiplex theater network could grow to approximately 2,450 IMAX theaters worldwide from 1,121 commercial multiplex IMAX theaters operating as March 31, 2017. The Company believes that the majority of its future growth will come from international markets. As at March 31, 2017, 63.9% of IMAX theater systems in operation were located within international markets (defined as all countries other than the United States and Canada), up from 58.7% as at March 31, 2016. Revenues and gross box-office derived from outside the United States and Canada continue to exceed revenues and gross box-office from the United States and Canada. Risks associated with the Company’s international business are outlined in Risk Factors – “The Company conducts business internationally, which exposes it to uncertainties and risks that could negatively affect its operations, sales and future growth prospects” in Item 1A of the Company’s 2016 Form 10-K.

Greater China continues to be the Company’s second-largest and fastest-growing market, measured by revenues. The Company’s Greater China operations have accounted for an increasingly significant portion of its overall revenues, with nearly 27% of overall revenues generated from the Company’s China operations in the three months ended March 31, 2017. As at March 31, 2017, the Company had 433 theaters operating in Greater China with an additional 356 theaters in backlog that are scheduled to be installed in Greater China by 2022. The Company’s backlog in Greater China represents 67.9% of the Company’s current backlog. The Company continues to invest in joint revenue sharing arrangements with select partners to ensure ongoing revenue in this key market. The Company’s largest single international partnership is in China with Wanda Cinema Line Corporation (“Wanda”). In 2016, the Company and Wanda signed an agreement for an additional 150 theater systems under a joint revenue sharing arrangement. This increases Wanda’s total commitment to the Company to 360 theater systems in Greater China, of which 345 theater systems are under the parties’ joint revenue sharing arrangement. Other key partners in China include CJ CGV Holdings, Ltd. (with a total commitment of 120 theater systems, of which 100 theater systems will be located in China); Guangzhou JinYi Media Corporation (with a total commitment of 60 theater systems, all of which are located in China); and Bona Film Group (with a total commitment of 35 theater systems throughout Greater China). See Risk Factors – “The Company faces risks in connection with the continued expansion of its business in China” in Item 1A of the Company’s 2016 Form 10-K.

 

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The following table outlines the breakdown of the Commercial Multiplex theater network by arrangement type and geographic location as at March 31:

 

     2017      2016  
     IMAX Commercial Multiplex Theater Network      IMAX Commercial Multiplex Theater Network  
     JRSA      Sale / Sales-
type lease
     Total      JRSA      Sale / Sales-
type lease
     Total  

Domestic Total (United States & Canada)

     268        120        388        261        120        381  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

International:

                 

Greater China

     268        148        416        180        115        295  

Asia (excluding Greater China)

     54        41        95        43        38        81  

Western Europe

     44        32        76        40        30        70  

Russia & the CIS

     —          57        57        —          48        48  

Latin America

     —          38        38        —          37        37  

Rest of the World

     15        36        51        10        30        40  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

International Total

     381        352        733        273        298        571  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Worldwide Total

     649        472        1,121        534        418        952  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

As at March 31, 2017, 268 (2016 — 261) of the 649 (2016 — 534) theaters under joint revenue sharing arrangements in operation, or 41.3% (2016 — 48.9%) were located in the United States and Canada, with the remaining 381 (2016 — 273) or 58.7% (2016 — 51.1%) of arrangements being located in international markets. The Company continues to seek to expand its network of theaters under joint revenue sharing arrangements, particularly in select international markets.

Sales Backlog

The Company’s current sales backlog is as follows:

 

     March 31, 2017     March 31, 2016  
           Fixed           Fixed  
           Contractual           Contractual  
     Number of     Dollar Value     Number of     Dollar Value  
     Systems     (in thousands)     Systems     (in thousands)  

Sales and sales-type lease arrangements

     176     $ 218,085       174     $ 225,225  

Joint revenue sharing arrangements

        

Hybrid arrangements

     93       50,124 (1)      119       65,576 (1) 

Traditional arrangements

     255       3,580 (2)      95       450 (2) 
  

 

 

   

 

 

   

 

 

   

 

 

 
     524 (3)    $ 271,789       388 (4)    $ 291,251  
  

 

 

   

 

 

   

 

 

   

 

 

 

 

(1) Reflects contractual upfront payments. Future contingent payments are not reflected as these are based on negotiated shares of box-office results.
(2) No fixed upfront or annual minimum payments. Future contingent payments are not reflected as these are based on negotiated shares of box-office results.
(3) Includes 21 laser-based digital theater system configurations, including three upgrades. The Company continues to develop and roll out its laser-based digital projection system. See “Research and Development” in Item 2 of this Part I for additional information.
(4) Includes 21 laser-based digital theater system configurations, including six upgrades (one xenon configuration and five laser configurations).

 

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The number of theater systems in the backlog reflects the minimum number of commitments under signed contracts. The dollar value fluctuates depending on the number of new theater system arrangements signed from year to year, which adds to backlog, and the installation and acceptance of theater systems and the settlement of contracts, both of which reduce backlog. Sales backlog typically represents the fixed contracted revenue under signed theater system sale and lease agreements that the Company believes will be recognized as revenue upon installation and acceptance of the associated theater. Sales backlog includes initial fees along with the estimated present value of contractual ongoing fees due over the term; however, it excludes amounts allocated to maintenance and extended warranty revenues as well as fees (contingent rent) in excess of contractual ongoing fees that may be received in the future. The value of sales backlog does not include revenue from theaters in which the Company has an equity interest, operating leases, letters of intent or long-term conditional theater commitments. The value of theaters under joint revenue sharing arrangements is excluded from the dollar value of sales backlog, although certain theater systems under joint revenue sharing arrangements provide for contracted upfront payments and therefore carry a backlog value based on those payments. The Company believes that the contractual obligations for theater system installations that are listed in sales backlog are valid and binding commitments.

From time to time, in the normal course of its business, the Company will have customers who are unable to proceed with a theater system installation for a variety of reasons, including the inability to obtain certain consents, approvals or financing. Once the determination is made that the customer will not proceed with installation, the agreement with the customer is terminated or amended. If the agreement is terminated, once the Company and the customer are released from all their future obligations under the agreement, all or a portion of the initial rents or fees that the customer previously made to the Company are recognized as revenue.

The following table outlines the breakdown of the total backlog by arrangement type and geographic location as at March 31:

 

     2017      2016  
     IMAX Theater Backlog      IMAX Theater Backlog  
     JRSA      Sale / Lease      Total      JRSA      Sale / Lease      Total  

Domestic Total (United States & Canada)

     49        9        58        22        15        37  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

International:

                 

Greater China

     268        88        356        155        72        227  

Asia (excluding Greater China)

     12        19        31        22        22        44  

Western Europe

     12        6        18        9        4        13  

Russia & the CIS

     —          17        17        —          23        23  

Latin America

     —          21        21        —          20        20  

Rest of the World

     7        16        23        6        18        24  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

International Total

     299        167        466        192        159        351  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Worldwide Total

     348        176        524        214        174        388  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

Approximately 88.9% of IMAX theater system arrangements in backlog as at March 31, 2017 are scheduled to be installed in international markets (2016 – 90.5%).

 

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The following reflects the Company’s signings and installations:

 

     For the Three Months Ended  
     March 31,  
     2017     2016  

Theater System Signings:

    

Full new sales and sales-type lease arrangements

     36       28  

New joint revenue sharing arrangements

     2       7  
  

 

 

   

 

 

 

Total new theaters

     38       35  

Upgrades of IMAX theater systems

     1       1  
  

 

 

   

 

 

 

Total theater signings

     39       36  
  

 

 

   

 

 

 
     For the Three Months Ended  
     March 31,  
     2017     2016  

Theater System Installations:

    

Full new sales and sales-type lease arrangements

     5       5  

New joint revenue sharing arrangements

     9       5  
  

 

 

   

 

 

 

Total new theaters

     14       10  

Upgrades of IMAX theater systems

     1 (1)      9 (1)(2) 
  

 

 

   

 

 

 

Total theater installations

     15       19  
  

 

 

   

 

 

 

 

(1) Includes one installation of an upgrade to a laser-based digital system under a sales arrangement (2016 – eight laser-based digital systems under sales and sales-type lease arrangements).
(2) Includes one installation of an upgrade to a xenon-based digital system under a sales arrangement.

The Company anticipates that it will install approximately 160 new theater systems (excluding upgrades) in 2017. The Company’s installation estimates include scheduled systems from backlog, as well as the Company’s estimate of installations from arrangements that will sign and install in the same calendar year. The Company cautions, however, that theater system installations may slip from period to period over the course of the Company’s business, usually for reasons beyond its control.

New Business

The Company’s new businesses include its original content and VR initiatives, IMAX Home Entertainment, and other new business initiatives that are in the development and/or start-up phase. If successful, the Company’s intent is to continue its focus on developing these areas of new business.

Other

The Company is also a distributor of large-format films, primarily for its institutional theater partners. The Company generally distributes films which it produces or for which it has acquired distribution rights from independent producers. The Company receives either a percentage of the theater box-office receipts or a fixed amount as a distribution fee.

The Company also provides film post-production and quality control services for large-format films (whether produced internally or externally), and digital post-production services.

The Company derives a small portion of its revenues from other sources. As at March 31, 2017, the Company had two owned and operated IMAX theaters (December 31, 2016 — two owned and operated theaters). In addition, the Company has a commercial arrangement with one theater resulting in the sharing of profits and losses and provides management services to three other theaters. The Company also rents its proprietary 2D and 3D large-format film and digital cameras to third party production companies. The Company maintains cameras and other film equipment and also offers production advice and technical assistance to both documentary and Hollywood filmmakers.

 

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CRITICAL ACCOUNTING POLICIES AND ESTIMATES

The Company prepares its condensed consolidated financial statements in accordance with United States Generally Accepted Accounting Principles (“U.S. GAAP”).

The preparation of these condensed consolidated financial statements requires management to make estimates and judgments that affect the reported amounts of assets, liabilities, revenues and expenses. On an ongoing basis, management evaluates its estimates, including those related to selling prices associated with the individual elements in multiple element arrangements; residual values of leased theater systems; economic lives of leased assets; allowances for potential uncollectibility of accounts receivable, financing receivables and net investment in leases; write-downs for inventory obsolescence; ultimate revenues for film assets; impairment provisions for film assets, long-lived assets and goodwill; depreciable lives of property, plant and equipment; useful lives of intangible assets; pension plan and post retirement assumptions; accruals for contingencies including tax contingencies; valuation allowances for deferred income tax assets; and, estimates of the fair value and expected exercise dates of stock-based payment awards. Management bases its estimates on historical experience, future expectations and other assumptions that are believed to be reasonable at the date of the condensed consolidated financial statements. Actual results may differ from these estimates due to uncertainty involved in measuring, at a specific point in time, events which are continuous in nature, and differences may be material. The Company’s significant accounting policies are discussed in Item 7 of the Company’s 2016 Form 10-K.

Impact of Recently Issued Accounting Pronouncements

Please see note 2 to the condensed consolidated financial statements in Item 1 for information regarding the Company’s recent changes in accounting policies and the impact of all recently issued accounting pronouncements impacting the Company.

 

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NON-GAAP FINANCIAL MEASURES

In this report, the Company presents certain data which are not recognized under U.S. GAAP and are considered “non-GAAP financial measures” under U.S. Securities and Exchange Commission rules. Specifically, the Company presents the following non-GAAP financial measures as supplemental measures of its performance:

 

    Adjusted net income;

 

    Adjusted net income per diluted share;

 

    Adjusted net income attributable to common shareholders;

 

    Adjusted net income attributable to common shareholders per diluted share; and

 

    EBITDA and adjusted EBITDA.

The Company presents adjusted net income and adjusted net income per diluted share, which excludes stock-based compensation, because it believes that they are important supplemental measures of the Company’s comparable controllable operating performance. Although stock-based compensation is an important aspect of the Company’s employee and executive compensation packages, it is mostly a non-cash expense and is excluded from certain internal business performance measures, and the Company wants to ensure that its investors fully understand the impact of its stock-based compensation (net of any related tax impact) on net income.

In addition, the Company presents adjusted net income attributable to common shareholders and adjusted net income attributable to common shareholders per diluted share because it believes that they are important supplemental measures of its comparable financial results. Without the presentation of these adjusted presentation measure the Company believes it could potentially distort the analysis of trends in business performance and it wants to ensure that its investors fully understand the impact of net income attributable to non-controlling interests and its stock-based compensation (net of any related tax impact) in determining net income attributable to common shareholders.

Management uses these measures for internal reporting and forecasting purposes in order to review operating performance on a comparable basis from period to period. However, these non-GAAP measures may not be comparable to similarly titled amounts reported by other companies. The Company’s non-GAAP measures should be considered in addition to, and not as a substitute for, or superior to, net income and net income attributable to common shareholders and other measures of financial performance reported in accordance with U.S. GAAP.

The Company is required to maintain a minimum level of “EBITDA”, as such term is defined in the Company’s credit agreement (and which is referred to herein as “Adjusted EBITDA”, as the credit agreement includes additional adjustments beyond interest, taxes, depreciation and amortization). EBITDA and Adjusted EBITDA (each as defined below) are used by management to evaluate, assess and benchmark the Company’s operational results, and the Company believes that EBITDA and Adjusted EBITDA are relevant and useful information widely used by analysts, investors and other interested parties in the Company’s industry. Accordingly, the Company is disclosing this information to permit a more comprehensive analysis of its operating performance and to provide additional information with respect to the Company’s ability to comply with its credit agreement requirements. However, EBITDA and Adjusted EBITDA are non-GAAP measures and should not be construed as substitutes for net income, operating income or other operating performance measures that are determined in accordance with U.S. GAAP. In addition, EBITDA and Adjusted EBITDA might not be comparable to similarly titled measures used by other companies.

EBITDA is defined as net income with adjustments for depreciation and amortization, interest income (expense)-net, and income tax provision (benefit). Adjusted EBITDA used by the Company is defined as EBITDA plus adjustments for loss from equity accounted investments, stock and other non-cash compensation and adjusted EBITDA attributable to non-controlling interests.

 

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RESULTS OF OPERATIONS

Important factors that the Company’s Chief Executive Officer (“CEO”) Richard L. Gelfond uses in assessing the Company’s business and prospects include:

 

    the signing, installation and financial performance of theater system arrangements (particularly its joint revenue sharing arrangements and new laser-based projection system);

 

    film performance and the securing of new film projects (particularly IMAX DMR films);

 

    revenue and gross margins from the Company’s segments;

 

    earnings from operations as adjusted for unusual items that the Company views as non-recurring;

 

    the success of new business initiatives (including new content and VR initiatives);

 

    short- and long-term cash flow projections;

 

    the continuing ability to invest in and improve the Company’s technology to enhance its differentiation of presentation versus other cinematic experiences; and

 

    the overall execution, reliability and consumer acceptance of The IMAX Experience.

Management, including the Company’s CEO, who is the Company’s Chief Operating Decision Maker (“CODM”) (as defined in the Segment Reporting Topic of the FASB ASC), assesses segment performance based on segment revenues, gross margins and film performance. Selling, general and administrative expenses, research and development costs, amortization of intangibles, receivables provisions (recoveries), write-downs net of recoveries, interest income, interest expense and tax (provision) recovery are not allocated to the segments. As identified in note 13 to the accompanying condensed consolidated financial statements in Item 1, the Company has identified new business as an additional reportable segment in the first quarter of 2017. The Company now has the following eight reportable segments: IMAX DMR; joint revenue sharing arrangements; IMAX systems; theater system maintenance; other; new business; film distribution; and film post-production. The Company is presenting the following information at a disaggregated level to provide more relevant information to readers, as permitted by the standard:

 

    Network Business

 

    The IMAX DMR segment consists of variable fees for the conversion of films into the IMAX DMR format generated by the box-office results from the exhibition of those films in the IMAX theater network.

 

    Joint revenue sharing arrangements – contingent rent, consists of variable rent revenues from box-office exhibited in IMAX theaters in exchange for the provision of IMAX theater projection system equipment to exhibitors. This excludes fixed hybrid revenues and upfront installation costs from the Company’s hybrid joint revenue sharing arrangements.

 

    IMAX systems – contingent rent consists of payments in excess of certain fixed minimum ongoing payments, under arrangements in the IMAX systems segment, which are recognized when reported by theater operators, provided collectibility is reasonably assured.

 

    Theater Business

 

    The IMAX systems segment consists of the design, manufacture and installation of IMAX theater projection system equipment under sales or sales-type lease arrangements for upfront and ongoing consideration, including ongoing fees and finance income.

 

    Joint revenue sharing arrangements – fixed fee consists of fixed hybrid revenues and upfront installation costs from the joint revenue sharing arrangement segment.

 

    The theater system maintenance segment consists of the provision of IMAX theater projection system equipment maintenance services to the IMAX theater network and the associated costs of those services.

 

    Other theater includes after-market sales of IMAX theater projection system parts and 3D glasses from the other segment.

 

    New Business

 

    The new business segment consists of content licensing and distribution fees associated with the Company’s original content investments, VR initiatives, IMAX Home Entertainment, and other new business initiatives that are in the development and/or start-up phase.

 

    Other

 

    The film distribution segment consists of revenues and costs associated with the distribution of documentary films for which the Company has distribution rights.

 

    The film post-production segment consists of the provision of film post-production services and their associated costs.

 

    The other segment consists of certain IMAX theaters that the Company owns and operates, camera rentals and other miscellaneous items.

The Company’s Management’s Discussion and Analysis (“MD&A”) of Financial Condition and Results of Operations has been organized by the Company into four primary groups – Network Business, Theater Business, New Business and Other. Each of the Company’s reportable segments, as identified above, has been classified into one of these broader groups for purposes of MD&A discussion. The Company believes that this approach is consistent with how the CODM reviews the financial performance of the business and makes strategic decisions regarding resource allocation and investments to meet long-term business goals. Management believes that a discussion and analysis based on these groups is significantly more relevant and useful to readers, as the Company’s

condensed consolidated statements of operations captions combine results from several segments. Certain of the prior period’s figures have been reclassified to conform to the current period’s presentation.

 

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Three Months Ended March 31, 2017 versus Three Months Ended March 31, 2016

The Company reported a net loss of $0.9 million, or a loss of $0.01 per basic and diluted share, for the first quarter of 2017 as compared to net income of $14.0 million, or $0.20 per basic and diluted share for the first quarter of 2016. Net income for the first quarter of 2017 includes a $5.3 million charge, or $0.08 per diluted share (2016 — $5.9 million or $0.09 per diluted share), for stock-based compensation. Adjusted net income, which consists of net income excluding the impact of stock-based compensation and the related tax impact, was $3.0 million, or $0.05 per diluted share, for the first quarter of 2017 as compared to adjusted net income of $18.0 million, or $0.26 per diluted share, for the first quarter of 2016. The Company reported net income attributable to common shareholders of $0.1 million, or $nil per basic and diluted share for the first quarter of 2017 (2016 — $11.3 million, or $0.16 per basic and diluted share). Adjusted net income attributable to common shareholders, which consists of net income attributable to common shareholders excluding the impact of stock-based compensation and the related tax impact, was $3.9 million, or $0.06 per diluted share, for the first quarter of 2017 as compared to adjusted net income attributable to common shareholders of $15.3 million, or $0.22 per diluted share, for the first quarter of 2016. A reconciliation of net income and net income attributable to common shareholders, the most directly comparable U.S. GAAP measure, to adjusted net income, adjusted net income per diluted share, adjusted net income attributable to common shareholders and adjusted net income attributable to common shareholders per diluted share is presented in the table below:

 

(In thousands of U.S. dollars, except per share amounts)    Three Months Ended      Three Months Ended  
     March 31, 2017      March 31, 2016  
     Net Income      Diluted EPS      Net Income      Diluted EPS  

Reported net (loss) income

   $ (887    $ (0.01    $ 13,952      $ 0.20  

Adjustments:

           

Stock-based compensation

     5,264        0.08        5,873        0.09  

Tax impact on items listed above

     (1,341      (0.02      (1,800      (0.03
  

 

 

    

 

 

    

 

 

    

 

 

 

Adjusted net income

     3,036        0.05        18,025        0.26  

Net loss (income) attributable to non-controlling interests

     962        0.01        (2,650      (0.04

Stock-based compensation (net of tax of less than $0.1 million and less than $0.1 million, respectively) attributable to non-controlling interests

     (128      —          (125      —    
  

 

 

    

 

 

    

 

 

    

 

 

 

Adjusted net income attributable to common shareholders

   $ 3,870      $ 0.06      $ 15,250      $ 0.22  
  

 

 

    

 

 

    

 

 

    

 

 

 

Weighted average diluted shares outstanding

        67,180           70,120  
     

 

 

       

 

 

 

 

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The following table sets forth the breakdown of revenue and gross margin by nature for the three months ended March 31:

 

(In thousands of U.S. dollars)    Revenue      Gross Margin  
     2017      2016      2017      2016  

Network business

           

IMAX DMR

   $ 23,408      $ 29,805      $ 17,467      $ 22,823  

Joint revenue sharing arrangements — contingent rent

     15,233        21,315        10,250        17,487  

IMAX systems — contingent rent

     688        1,187        688        1,187  
  

 

 

    

 

 

    

 

 

    

 

 

 
     39,329        52,307        28,405        41,497  
  

 

 

    

 

 

    

 

 

    

 

 

 

Theater business

           

IMAX Systems

           

Sales and sales-type leases(1)

     6,942        17,999        3,220        4,320  

Ongoing fees and finance income(2)

     2,585        2,675        2,521        2,328  

Joint revenue sharing arrangements — fixed fees

     470        2,070        88        504  

Theater system maintenance

     11,045        9,826        4,249        3,439  

Other theater

     2,165        2,487        430        (32
  

 

 

    

 

 

    

 

 

    

 

 

 
     23,207        35,057        10,508        10,559  
  

 

 

    

 

 

    

 

 

    

 

 

 

New business

     1,280        —          (337      (225
  

 

 

    

 

 

    

 

 

    

 

 

 

Other

           

Film distribution and post-production

     3,584        2,770        (2,663      570  

Other

     1,257        1,994        (142      (225
  

 

 

    

 

 

    

 

 

    

 

 

 
     4,841        4,764        (2,805      345  
  

 

 

    

 

 

    

 

 

    

 

 

 
   $ 68,657      $ 92,128      $ 35,771      $ 52,176  
  

 

 

    

 

 

    

 

 

    

 

 

 

 

(1) Includes initial payments and the present value of fixed minimum payments from equipment, sales and sales-type lease transactions.
(2) Includes rental income from operating leases and finance income.

Revenues and Gross Margin

The Company’s revenues for the first quarter of 2017 decreased 25.5% to $68.7 million from $92.1 million in first quarter of 2016, primarily due to a decrease in revenues from the Company’s network and theater business segments. The gross margin across all segments in the first quarter of 2017 was $35.8 million, or 52.1% of total revenue, compared to $52.2 million, or 56.6% of total revenue in the first quarter of 2016.

Network Business

Network business revenue decreased 24.8% to $39.3 million in the first quarter of 2017 from $52.3 million in the first quarter of 2016. The Company’s network business revenue is driven by box-office performance, which was lower in the first quarter of 2017 as compared to the first quarter of 2016 as discussed below.

IMAX DMR revenues decreased 21.5% to $23.4 million in the first quarter of 2017 from $29.8 million in the first quarter of 2016, mostly the result of a decrease in box-office performance. Gross box-office generated by IMAX DMR films decreased 22.0% to $212.1 million in the first quarter of 2017 from $272.0 million in the first quarter of 2016. Gross box-office per screen for the first quarter of 2017 averaged $189,300, in comparison to $284,400 in the first quarter of 2016. In the first quarter of 2017, gross box-office was generated primarily by the exhibition of 18 films (12 new and 6 carryovers), as compared to 17 films (11 new and 6 carryovers) exhibited in the first quarter of 2016. IMAX DMR gross margins decreased to $17.5 million from $22.8 million primarily due to lower film box-office performance and higher costs, including marketing, print and sound.

Revenues from joint revenue sharing arrangements decreased to $15.2 million in the first quarter of 2017 from $21.3 million in the first quarter of 2016. The Company ended the first quarter of 2017 with 649 theaters operating under joint revenue sharing arrangements, as compared to 534 theaters at the end of the first quarter of 2016, an increase of 21.5%. Gross box-office generated by the joint revenue sharing arrangements was 19.6% lower at $115.8 million in the first quarter of 2017 from $144.0 million in the first quarter of 2016. The decrease in revenues from joint revenue sharing arrangements was largely due to lower film box-office performance versus the prior year comparative period, offset partially by continued network growth.

 

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The gross margin from joint revenue sharing arrangements decreased 41.4% to $10.3 million in the first quarter of 2017 from $17.5 million in the first quarter of 2016. Included in the calculation of gross margin for the first quarter of 2017 were certain advertising, marketing and commission costs primarily associated with new theater launches of $0.4 million, as compared to $0.1 million during the first quarter of 2016.

Contingent rent revenue from IMAX systems decreased to $0.7 million in the first quarter of 2017 from $1.2 million in the first quarter of 2016. Contingent rent revenue are payments received in excess of the fixed minimum ongoing payments which are primarily driven by box-office performance reported by theater operators. The decrease in revenue is primarily due to a decrease in box-office performance in the first quarter of 2017 as compared to the first quarter of 2016.

Theater Business

Theater Business revenue decreased 33.8% to $23.2 million in the first quarter of 2017 as compared to $35.1 million in first quarter of 2016. This is primarily due to the installation of one laser-based digital upgrade in the first quarter of 2017, with a total value of $1.3 million, as compared to eight laser-based digital upgrades and one xenon-based digital upgrade in the first quarter of 2016, with a total value of $12.1 million. The Company installed seven theater systems under sales or sales-type lease arrangements, which includes one theater system under a hybrid joint revenue sharing arrangement, in the first quarter of 2017 versus 18 theater systems, which includes four theater systems under hybrid joint revenue sharing arrangements, in the first quarter of 2016.

Revenue from sales and sales-type leases was $6.9 million in the first quarter of 2017, as compared to $18.0 million in the first quarter of 2016. The Company recognized revenue on five full, new theater systems which qualified as either sales or sales-type leases in the first quarter of 2017, with a total value of $5.5 million, versus five full, new theater systems in the first quarter of 2016 with a total value of $5.8 million. Average revenue per full, new sales and sales-type lease systems was $1.1 million for the three months ended March 31, 2017, as compared to $1.2 million in the three months ended March 31, 2016. The average revenue per full, new sales and sales-type lease systems varies depending upon the number of theater system commitments with a single respective exhibitor, an exhibitor’s location or other various factors.

The Company recognized revenue from one full, new theater system under a hybrid joint revenue sharing arrangement in the first quarter of 2017, with a total value of $0.5 million, versus four full, new theater systems in the first quarter of 2016 with a total value of $2.1 million. Average revenue per system upgrade was $1.3 million for the three months ended March 31, 2017, which was consistent with the three months ended March 31, 2016.

 

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The installation of theater systems in newly-built theaters or multiplexes, which make up a large portion of the Company’s theater system backlog, depends primarily on the timing of the construction of those projects, which is not under the Company’s control. The breakdown in mix of sales and sales-type lease and joint revenue sharing arrangement (see discussion below) installations by theater system configuration is outlined in the table below:

 

     Three Months Ended March 31,  
     2017     2016  

New IMAX digital theater systems - installed and recognized

    

Sales and sales-types lease arrangements

     5       5  

Joint revenue sharing arrangements

     9 (1)      5 (1) 
  

 

 

   

 

 

 

Total new theater systems

     14       10  
  

 

 

   

 

 

 

IMAX digital theater system upgrades - installed and recognized

    

Sales and sales-types lease arrangements

     1 (2)      9 (2) 
  

 

 

   

 

 

 

Total upgraded theater systems

     1       9  
  

 

 

   

 

 

 

Total theater systems installed

     15       19  
  

 

 

   

 

 

 

 

(1) Includes one hybrid and eight traditional theater systems under joint revenue sharing arrangements (2016 – four hybrids and one traditional joint revenue sharing arrangements).
(2) Includes one laser-based digital system configuration under a sales arrangement (2016 – eight laser-based digital system configuration upgrades).

Theater business margin from full, new sales and sales-type lease systems was 66.0% in the first quarter of 2017 which was lower than the 68.2% experienced in the first quarter of 2016. On average, the Company experiences lower margins from the installation of laser-based digital systems. The Company expects these margins to improve through further development of its commercial laser-based projection system. Gross margin from theater system upgrades was $0.2 million in the first quarter of 2017, as compared to $1.4 million in the first quarter of 2016, primarily due to one system upgrade in the first quarter of 2017, as compared to eight upgrades in the first quarter of 2016. In addition, the Company recorded a charge of $0.2 million upon the upgrade of xenon-based digital systems under operating lease arrangements to laser-based digital systems under sales or sales-type lease arrangements in the first quarter of 2016, for components which were not used in the upgrade and cannot be used for future installations. No such charge was recorded in the first quarter of 2017. Gross margin varies depending upon the number of theater system commitments with a single respective exhibitor, an exhibitor’s location and other various factors.

Gross margin from the installation and recognition of hybrid joint revenue sharing arrangements was $0.1 million in the first quarter of 2017, as compared to $0.5 million in the first quarter of 2016.

Theater system maintenance revenue increased 12.4% to $11.0 million in the first quarter of 2017 from $9.8 million in the first quarter of 2016. Theater system maintenance gross margin was $4.2 million in the first quarter of 2017 versus $3.4 million in the first quarter of 2016. Maintenance revenue continues to grow as the number of theaters in the IMAX theater network grows. Maintenance margins vary depending on the mix of theater system configurations in the theater network, volume-pricing related to larger relationships and the timing and the date(s) of installation and/or service.

Ongoing fees and finance income was $2.6 million in the first quarter of 2017 compared to $2.7 million in the first quarter of 2016. Gross margin for ongoing rent and finance income increased to $2.5 million in the first quarter of 2017 from $2.3 million in the first quarter of 2016.

Other theater revenue decreased to $2.2 million in the first quarter of 2017 as compared to $2.5 million in the first quarter of 2016. Other theater revenue primarily includes revenue generated from the Company’s after-market sales of projection system parts and 3D glasses. The gross margin recognized from other theater revenue was $0.4 million in the first quarter of 2017 as compared to a loss of less than $0.1 million in the first quarter of 2016.

 

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New Business

Revenue earned from the Company’s new business initiatives was $1.3 million in the first quarter of 2017, as compared to $nil in the first quarter of 2016. New business revenue was primarily generated from the progress on the development of an IMAX VR camera. No such revenue was earned in the prior year comparative period.

The gross margin recognized from new business was a loss of $0.3 million in the first quarter of 2017 as compared to a loss of $0.2 million in the first quarter of 2016, primarily due to the launch of the Company’s first IMAX VR Center and the performance of the Company’s other new business initiatives, as compared to the prior year comparative period.

The Company is evaluating its new business initiatives separately from its core business as the nature of its activities is separate and distinct from its ongoing operations. The Company recognized a net loss from its new business initiatives for the first quarter of 2017 of $2.6 million, which includes amortization of $0.4 million, a tax recovery of $nil, and an equity loss of $0.2 million, as compared to net loss of $2.5 million, which includes amortization of less than $0.1 million, a tax recovery of $nil, and an equity loss of $0.4 million, in the prior year comparative period. Negative EBITDA from the Company’s new business initiatives was $2.0 million in the first quarter of 2017 and 2016, respectively.

Other

Film distribution and post-production revenues was $3.6 million in the first quarter of 2017, as compared to $2.8 million in the first quarter of 2016, primarily due to an increase in film distribution revenue from IMAX original films. Film distribution and post-production gross margin was a loss of $2.7 million in the first quarter of 2017 as compared to $0.6 million in the first quarter of 2016 primarily due to a charge against film assets. The Company reviewed the carrying value of certain documentary film assets as a result of lower than expected revenue being generated during the period and revised expectations for future revenues based on the latest information available. An impairment of $3.4 million was recorded based on the carrying value of these documentary films as compared to the related estimated future box office and revenues that would ultimately be generated by these films. No similar charge was recorded in the first quarter of 2016.

Other revenue decreased to $1.3 million in the first quarter of 2017, as compared to $2.0 million in the first quarter of 2016. Other revenue primarily includes revenue generated from the Company’s theater operations and camera rental business. The decrease in revenue is primarily the result of two IMAX owned and operational theaters in the first quarter of 2017, as compared to three such theaters in the prior year comparative period.

The gross margin recognized from other revenue was a loss of $0.1 million in the first quarter of 2017 as compared to a loss of $0.2 million in the first quarter of 2016, primarily driven by an increase in camera rental margins in the current period versus the prior year comparative period.

Selling, General and Administrative Expenses

Selling, general and administrative expenses increased to $30.9 million in the first quarter of 2017, as compared to $28.9 million in the first quarter of 2016. Selling, general and administrative expenses excluding the impact of stock-based compensation were $25.6 million in the first quarter of 2017, as compared to $23.0 million in the first quarter of 2016. The following reflects the significant items impacting selling, general and administrative expenses as compared to the prior year comparative period:

 

    a $1.8 million increase in staff costs related to the core business, including salaries and benefits;

 

    a $0.5 million increase due to a change in foreign exchange rates. During the first quarter ended March 31, 2017, the Company recorded a foreign exchange loss of less than $0.1 million for net foreign exchange gains/losses related to the translation of foreign currency denominated monetary assets and liabilities as compared to a gain of $0.5 million recorded in 2016; and

 

    a $0.6 million net increase in other general corporate expenditures including consulting, professional fees, travel and entertainment.

These increases were offset by a $0.6 million decrease in the Company’s stock-based compensation, and a $0.3 million decrease in new business costs, primarily related to staff costs, in the three months ended March 31, 2017.

 

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Research and Development

Research and development expenses increased to $4.3 million in the first quarter of 2017 compared to $3.7 million in the first quarter of 2016 and are primarily attributable to the continued development of the Company’s new commercial laser-based digital projection system and other new business initiatives which commenced in 2016, including the Google camera and virtual reality. As of March 31, 2017, the Company had 40 laser-based digital theater systems in operation and 21 laser-based digital theater systems in backlog.

The Company intends for additional research and development to continue throughout 2017 as the Company supports further development of the commercial laser-based projection system and its new business initiatives.

In addition to continued research and development with respect to its core business, the Company intends to continue research and development in connection with the previously-announced cinema-grade VR camera to be developed in partnership with Google. In 2016, the Company began research and development in connection with its exploration of a comprehensive VR strategy to deliver immersive and interactive experiences to consumers through pilot IMAX VR Centers, which the Company expects to continue in 2017. The Company also plans to conduct research and development activity in the future in other areas considered important to the Company’s continued commercial success, including further improving the reliability of its projectors, developing and manufacturing more IMAX cameras, enhancing the Company’s 2D and 3D image quality, expanding the applicability of the Company’s digital technology, developing IMAX theater systems’ capabilities in both home and live entertainment, improvements to the DMR process and the ability to deliver DMR releases digitally to its theater network, without the requirement for hard drives.

Receivable Provisions, Net of Recoveries

Receivable provisions, net of recoveries for accounts receivable and financing receivables amounted to a net provision of $0.2 million in the first quarter of 2017 as compared to a net provision of $0.1 million in the first quarter of 2016.

The Company’s accounts receivables and financing receivables are subject to credit risk, as a result of geographical location, exchange rate fluctuations, and other factors. These receivables are concentrated with the leading theater exhibitors and studios in the film entertainment industry. To minimize the Company’s credit risk, the Company retains title to underlying theater systems leased, performs initial and ongoing credit evaluations of its customers and makes ongoing provisions for its estimate of potentially uncollectible amounts. Accordingly, the Company believes it has adequately protected itself against exposures relating to receivables and contractual commitments.

Interest Income and Expense

Interest income was $0.2 million in the first quarter of 2017, as compared to $0.5 million in the first quarter of 2016.

Interest expense was $0.5 million in the first quarter of 2017, as compared to $0.4 million in the first quarter of 2016. Included in interest expense is the amortization of deferred finance costs in the amount of $0.1 million in the first quarter of 2017, as compared to $0.1 million in the first quarter of 2016. The Company’s policy is to defer and amortize all the costs relating to debt financing which are paid directly to the debt provider, over the life of the debt instrument.

Income Taxes

The Company’s effective tax rate differs from the statutory tax rate and varies from year to year primarily as a result of numerous permanent differences, investment and other tax credits, the provision for income taxes at different rates in foreign and other provincial jurisdictions, enacted statutory tax rate increases or reductions in the year, changes due to foreign exchange, changes in the Company’s valuation allowance based on the Company’s recoverability assessments of deferred tax assets, and favorable or unfavorable resolution of various tax examinations.

As at March 31, 2017, the Company had a gross deferred income tax asset of $29.7 million, against which the Company is carrying a $0.2 million valuation allowance. For the three months ended March 31, 2017, the Company recorded an income tax provision of $0.1 million, of which a provision of less than $0.1 million was related to an increase in its provision for uncertain tax positions. In addition, included in the provision for income taxes was a $0.3 million recovery for windfall tax benefits, offset by a $0.6 million provision related to the portion of losses applicable to non-controlling interests in the Company’s Film Fund.

 

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The Company’s Chinese subsidiary has made certain enquiries of the Chinese State Administration of Taxation regarding the potential deductibility of certain stock based compensation for stock options issued by the Chinese subsidiary’s parent company, IMAX China Holding, Inc. In addition, Chinese regulatory authorities responsible for capital and exchange controls will need to review and approve the proposed transactions before they can be completed. There may be a requirement for future investment of funds into China in order to secure the deduction. Should the Company proceed, any such future investment would come from existing capital invested in the IMAX China group of companies being redeployed amongst the IMAX China group of companies, including the Chinese subsidiary. The Company is unable to reliably estimate the magnitude of the related tax benefits at this time.

Equity-Accounted Investments

The Company accounts for investments in new business ventures using the guidance of the FASB ASC 323. As at March 31, 2017, the equity method of accounting is being utilized for an investment with a carrying value of $nil (December 31, 2016 — $nil). The Company’s accumulated losses in excess of its equity investment were $0.7 million as at March 31, 2017. For the three months ended March 31, 2017, gross revenues, cost of revenue and net loss for these investments were $0.2 million, $0.9 million and $0.7 million, respectively (2016 — $0.4 million, $2.2 million and $1.8 million, respectively). The Company recorded its proportionate share of the net loss which amounted to $0.3 million first quarter of 2017, compared to $0.4 million experienced in the first quarter of 2016.

Non-Controlling Interests

The Company’s condensed consolidated financial statements include the non-controlling interest in the net income of IMAX China resulting from the IMAX China Investment and the IMAX China IPO as well as the impact of a non-controlling interest in its subsidiary created for the Film Fund activity. For the three months ended March 31, 2017, the net loss attributable to non-controlling interests of the Company’s subsidiaries was $1.0 million (2016 — net income of $2.7 million).

 

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LIQUIDITY AND CAPITAL RESOURCES

The Company maintains a senior secured credit facility (the “Credit Facility”) with a maximum borrowing capacity of $200.0 million and a scheduled maturity of March 3, 2020. The Credit Facility is collateralized by a first priority security interest in substantially all of the present and future assets of the Company and the Guarantors. Certain of the Company’s subsidiaries serve as guarantors (the “Guarantors”) of the Company’s obligations under the Credit Facility.

The terms of the Credit Facility are set forth in the Fourth Amended and Restated Credit Agreement (the “Credit Agreement”), dated March 3, 2015, among the Company, the Guarantors, the lenders named therein, Wells Fargo Bank, National Association (“Wells Fargo”), as agent and issuing lender (Wells Fargo, together with the lenders named therein, the “Lenders”) and Wells Fargo Securities, LLC, as Sole Lead Arranger and Sole Bookrunner and in various collateral and security documents entered into by the Company and the Guarantors. Each of the Guarantors has also entered into a guarantee in respect of the Company’s obligations under the Credit Facility. On February 22, 2016, the Company amended the terms of the Credit Agreement to increase the general restricted payment basket thereunder (which covers, among other things, the repurchase of shares) from $150.0 million to $350.0 million in the aggregate after the amendment date.

Total amounts drawn and available under the Credit Facility at March 31, 2017 were $nil and $200.0 million, respectively (December 31, 2016 – $nil and $200.0 million, respectively).

Under the Credit Facility, the effective interest rate for the three months ended March 31, 2017 was nil, as no amounts were outstanding during the period (2016 – nil).

The Credit Facility provides that the Company is required at all times to satisfy a Minimum Liquidity Test (as defined in the Credit Agreement) of at least $50.0 million. The Company is also required to maintain minimum EBITDA (as defined in the Credit Agreement) of $100.0 million. The Company is also required to maintain a Maximum Total Leverage Ratio (as defined in the Credit Agreement) of 2.0:1.0, which requirement decreases to 1.75:1.0 on December 31, 2017. The Company was in compliance with all of these requirements at March 31, 2017. The Maximum Total Leverage Ratio was 0.25:1 as at March 31, 2017, where Total Debt (as defined in the Credit Agreement) is the sum of all obligations evidenced by notes, bonds, debentures or similar instruments and was $27.2 million. EBITDA is calculated as follows:

 

     For the      For the  
     Three Months Ended      Twelve Months Ended  
Adjusted EBITDA per Credit Facility:    March 31, 2017      March 31, 2017(1)  
(In thousands of U.S. Dollars)      

Net (loss) income

   $ (887    $ 26,256  

Add (subtract):

     

Provision for income taxes

     114        12,608  

Interest expense, net of interest income

     227        611  

Depreciation and amortization, including film asset amortization

     11,957        47,613  
  

 

 

    

 

 

 

EBITDA

   $ 11,411      $ 87,088  

Write-downs, net of recoveries including asset impairments and receivable provisions

     4,010        9,302  

Loss from equity accounted investments

     255        2,135  

Stock and other non-cash compensation

     5,660        28,579  
  

 

 

    

 

 

 

Adjusted EBITDA before non-controlling interests

   $ 21,336      $ 127,104  

Adjusted EBITDA attributable to non-controlling interests(2)

     (2,845      (18,211
  

 

 

    

 

 

 
   $ 18,491      $ 108,893  
  

 

 

    

 

 

 

 

(1) Ratio of total debt calculated using twelve months ended Adjusted EBITDA
(2) The Adjusted EBITDA calculation specified for purposes of the minimum Adjusted EBITDA covenant excludes the reduction in Adjusted EBITDA from the Company’s non-controlling interests.

 

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Playa Vista Financing

IMAX PV Development Inc., a Delaware corporation (“PV Borrower”) and wholly-owned subsidiary of the Company, entered into a loan agreement with Wells Fargo. The loan (the “Playa Vista Loan”) was used to principally fund the costs of development and construction of the new West Coast headquarters of the Company, located in the Playa Vista neighborhood of Los Angeles, California (the “Playa Vista Project”).

In connection with the Playa Vista project, the Playa Vista Loan was fully drawn at $30.0 million and bears interest at a variable rate per annum equal to 2.0% above the 30-day LIBOR rate. PV Borrower is required to make monthly payments of combined principal and interest over a 10-year term with a lump sum payment at the end of year 10. The Playa Vista Loan is being amortized over 15 years. The Playa Vista Loan will be fully due and payable on October 19, 2025 (the “Maturity Date”) and may be prepaid at any time without premium, but with all accrued interest and other applicable payments.

The Playa Vista Loan is secured by a deed of trust from PV Borrower in favor of Wells Fargo and other documents evidencing and securing the loan (the “Loan Documents”), granting a first lien on and security interest in the Playa Vista property and the Playa Vista Project, including all improvements to be constructed thereon. The Loan Documents include absolute and unconditional payment and completion guarantees provided by the Company, including an environmental indemnity, to Wells Fargo for the performance by PV Borrower of all the terms and provisions of the Playa Vista Loan.

Total amount drawn under the Playa Vista Loan as at March 31, 2017 was $27.2 million (December 31, 2016 — $27.7 million). Under the Playa Vista Loan, the effective interest rate for the three months ended March 31, 2017 was 2.85% (2016 — 2.43%).

Letters of Credit and Other Commitments

As at March 31, 2017, the Company did not have any letters of credit and advance payment guarantees outstanding (December 31, 2016 — $nil), under the Credit Facility.

The Company also has a $10.0 million facility for advance payment guarantees and letters of credit through the Bank of Montreal for use solely in conjunction with guarantees fully insured by Export Development Canada (the “Bank of Montreal Facility”). The Bank of Montreal Facility is unsecured and includes typical affirmative and negative covenants, including delivery of annual consolidated financial statements within 120 days of the end of the fiscal year. The Bank of Montreal Facility is subject to periodic annual reviews. The Company did not have any letters of credit and advance payment guarantees outstanding as at March 31, 2017 (December 31, 2016 — $0.1 million) under the Bank of Montreal Facility.

 

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Cash and Cash Equivalents

As at March 31, 2017, the Company’s principal sources of liquidity included cash and cash equivalents of $190.5 million, the Credit Facility, anticipated collection from trade accounts receivable of $96.1 million including receivables from theaters under joint revenue sharing arrangements and DMR agreements with studios, anticipated collection from financing receivables due in the next 12 months of $24.7 million and payments expected in the next 12 months on existing backlog deals. As at March 31, 2017, the Company did not have any amount drawn on the Credit Facility (remaining availability of $200.0 million), and the Company had $27.2 million drawn on the Playa Vista Loan. There were no letters of credit and advance payment guarantees outstanding under both the Credit Facility and the Bank of Montreal Facility. Cash held outside of Canada as at March 31, 2017 was $142.4 million (December 31, 2016 — $148.0 million), of which $29.4 million was held in the People’s Republic of China (“PRC”) (December 31, 2016 — $31.5 million). The Company’s intent is to permanently reinvest these amounts outside of Canada and the Company does not currently anticipate that it will need funds generated from foreign operations to fund North American operations. In the event funds from foreign operations are needed to fund operations in North America and if withholding taxes have not already been previously provided, the Company would be required to accrue and pay these additional withholding tax amounts on repatriation of funds from China to Canada. The Company currently estimates this amount to be $5.2 million.

During the three months ended March 31, 2017, the Company’s operations used cash of $0.6 million. The Company used cash of $14.2 million to fund capital expenditures, to build equipment for use in joint revenue sharing arrangements, to purchase other intangible assets, to invest in new business ventures such as its VR initiatives and to purchase property, plant and equipment. Based on management’s current operating plan for 2017, the Company expects to continue to use cash to deploy additional theater systems under joint revenue sharing arrangements, to fund DMR agreements with studios, invest in new business ventures and continued share repurchases. Cash flows from joint revenue sharing arrangements are derived from the theater box-office and concession revenues and the Company invested directly in the roll out of 9 new theater systems under joint revenue sharing arrangements during the three months ended March 31, 2017, of which 8 new theater systems were capitalized by the Company.

In 2014, the Company’s Board of Directors approved a $150.0 million share repurchase program for shares of the Company’s common stock, which program was amended on April 20, 2016 to increase the aggregate purchase allowance to $200.0 million. Purchases under the program commenced in 2014, and the program expires June 30, 2017. The repurchases may be made either in the open market or through private transactions, subject to market conditions, applicable legal requirements and other relevant factors. The Company has no obligation to repurchase shares, and the share repurchase program may be suspended or discontinued by the Company at any time. During the three months ended March 31, 2017, the Company did not repurchase any common shares. The Company has $46.3 million available under its approved repurchase program.

The Company’s operating cash flow will be adversely affected if management’s projections of future signings for theater systems and film performance, theater installations and film productions are not realized. The Company forecasts its short-term liquidity requirements on a quarterly and annual basis. Since the Company’s future cash flows are based on estimates and there may be factors that are outside of the Company’s control (see “Risk Factors” in Item 1A in the Company’s 2016 Form 10-K), there is no guarantee that the Company will continue to be able to fund its operations through cash flows from operations. Under the terms of the Company’s typical sale and sales-type lease agreement, the Company receives substantial cash payments before the Company completes the performance of its obligations. Similarly, the Company receives cash payments for some of its film productions in advance of related cash expenditures. Based on the Company’s cash flow from operations and facilities, it expects to have sufficient capital and liquidity to fund its operations in the normal course for the next 12 months.

Operating Activities

The Company’s net cash provided by operating activities is affected by a number of factors, including the proceeds associated with new signings of theater system lease and sale agreements in the year, costs associated with contributing systems under joint revenue sharing arrangements, the box-office performance of films distributed by the Company and/or released to IMAX theaters, increases or decreases in the Company’s operating expenses, including research and development and new business initiatives, and the level of cash collections received from its customers.

Cash used in operating activities amounted to $0.6 million for the three months ended March 31, 2017. Changes in other non-cash operating assets as compared to December 31, 2016 include:

 

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    a decrease of $0.2 million in accounts receivable resulting from amounts billed in the period offset by cash receipts;

 

    a decrease of $1.8 million in financing receivables primarily due to ongoing minimum rent payments received offset by installation and recognition of IMAX theater systems under sales or sales-type lease arrangements;

 

    an increase of $3.3 million in inventories due to an increase in the number of installations and recognitions of IMAX theater systems under sales or sales-type lease arrangements and joint revenue sharing arrangements anticipated subsequent to period end;

 

    an increase of $1.4 million in prepaid expenses due to timing; and

 

    an increase of $0.2 million in other assets which includes an increase of $0.2 million in commissions and other deferred selling expenses, an increase of $0.1 million in insurance recoveries, offset by a decrease of $0.1 million in other assets.

Changes in other operating liabilities as compared to December 31, 2016 include: an increase in deferred revenue of $10.6 million related to backlog payments received in the current period, offset by amounts relieved from deferred revenue related to theater system installations; a decrease in accounts payable of $6.0 million; and a decrease of $18.8 million in accrued liabilities primarily due to a decrease in income taxes payable and bonus payable due to timing.

Investing Activities

Capital expenditures, including the Company’s investment in joint revenue sharing equipment, purchase of property, plant and equipment, other intangible assets and investments in film assets were $16.5 million for the three months ended March 31, 2017 as compared to $13.3 million for the three months ended March 31, 2016. The Company expects its investment in capital expenditures to remain fairly consistent as the nature of these cash outlays in particular, joint revenue sharing arrangements and film assets, exist to strengthen operational performances.

Net cash used in investing activities amounted to $14.2 million in three months ended March 31, 2017, which includes purchases of $4.1 million in property, plant and equipment, an investment in joint revenue sharing equipment of $7.5 million, an investment in new business ventures of $1.0 million and an investment in other intangible assets of $1.6 million, primarily related to expanding the functionality of the Company’s enterprise resource planning system.

Financing Activities

Net cash provided by financing activities in the three months ended March 31, 2017 amounted to $0.5 million as compared to net cash used in financing activities of $53.3 million in the three months ended March 31, 2016. In the three months ended March 31, 2017, the Company paid $11.9 million to purchase treasury stock for the settlement of restricted share units and options and $0.1 million of taxes relating to employee stock award vesting. In addition, the Company also made $0.5 million in repayments under the Playa Vista Loan. These cash outlays were offset by $13.1 million received from the issuance of common shares resulting from stock option exercises.

 

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CONTRACTUAL OBLIGATIONS

Payments to be made by the Company under contractual obligations as of March 31, 2017 are as follows:

 

     Payments Due by Period  
     Total                                            
(In thousands of U.S. Dollars)    Obligations      2017      2018      2019      2020      2021      Thereafter  

Purchase obligations(1)

   $ 24,647      $ 24,647      $ —        $ —        $ —        $ —        $ —    

Pension obligations(2)

     21,115        —          —          —          21,115        —          —    

Operating lease obligations(3)

     34,545        5,067        6,168        4,088        1,949        1,795        15,478  

Playa Vista Loan(4)

     27,167        1,500        2,000        2,000        2,000        2,000        17,667  

Postretirement benefits obligations

     4,812        888        1,198        681        141        146        1,758  

Other financial commitments(5)

     39,173        39,173        —          —          —          —          —    
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 
   $ 151,459      $ 71,275      $ 9,366      $ 6,769      $ 25,205      $ 3,941      $ 34,903  
  

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

    

 

 

 

 

(1) The Company’s total payments to be made under binding commitments with suppliers and outstanding payments to be made for supplies ordered but yet to be invoiced.
(2) The SERP assumptions are that Mr. Gelfond will receive a lump sum payment six months after retirement at the end of the current term of his employment agreement (December 31, 2019), although Mr. Gelfond has not informed the Company that he intends to retire at that time.
(3) The Company’s total minimum annual rental payments to be made under operating leases, mostly consisting of rent at the Company’s property in New York and at the various owned and operated theaters.
(4) The Playa Vista Loan is fully due and payable on October 19, 2025. The Company is required to make monthly payments of combined principal and interest.
(5) Other financial commitments include the Company’s total minimum commitment toward the development, production, post-production and marketing, related to certain film and new content initiatives.

Pension and Postretirement Obligations

The Company has an unfunded defined benefit pension plan, the SERP, covering Mr. Gelfond. As at March 31, 2017, the Company had an unfunded and accrued projected benefit obligation of approximately $19.7 million (December 31, 2016 — $19.6 million) in respect of the SERP.

Pursuant to an employment agreement dated November 8, 2016, the term of Mr. Gelfond’s employment was extended through December 31, 2019, although Mr. Gelfond has not informed the Company that he intends to retire at that time. Under the terms of the arrangement, no compensation earned beginning in 2011 is to be included in calculating his entitlement under the SERP.

The Company has a postretirement plan to provide health and welfare benefits to Canadian employees meeting certain eligibility requirements. As at March 31, 2017, the Company had an unfunded benefit obligation of $1.8 million (December 31, 2016 — $1.7 million).

In July 2000, the Company agreed to maintain health benefits for Messrs. Gelfond and Bradley J. Wechsler, the Company’s former Co-CEO and current Chairman of its Board of Directors, upon retirement. As at March 31, 2017, the Company had an unfunded benefit obligation of $0.7 million (December 31, 2016 — $0.6 million).

In September 2016, the Company entered into a new employment agreement with Greg Foster, CEO of IMAX Entertainment and Senior Executive Vice President of the Company, which provides for an employment term from July 2, 2016 through July 2, 2019. Under the agreement, the Company agreed to create a deferred compensation retirement plan (the “Retirement Plan”) covering Mr. Foster, and to make a total contribution of $3.2 million over the three-year employment term. The Retirement Plan is subject to a vesting schedule based on continued employment with the Company, such that 25% will vest July 2019; 50% will vest July 2022; 75% will vest July 2025; and Mr. Foster will be 100% vested in July 2027. As at March 31, 2017, the Company had an unfunded benefit obligation recorded of $0.8 million (December 31, 2016 — $0.5 million).

 

65


Table of Contents

OFF-BALANCE SHEET ARRANGEMENTS

There are currently no off-balance sheet arrangements that have or are reasonably likely to have a current or future material effect on the Company’s financial condition.

Item 3. Quantitative and Qualitative Factors about Market Risk

The Company is exposed to market risk from foreign currency exchange rates and interest rates, which could affect operating results, financial position and cash flows. Market risk is the potential change in an instrument’s value caused by, for example, fluctuations in interest and currency exchange rates. The Company’s primary market risk exposure is the risk of unfavorable movements in exchange rates between the U.S. dollar, the Canadian dollar and the Chinese Yuan Renminbi. The Company does not use financial instruments for trading or other speculative purposes.

Foreign Exchange Rate Risk

A majority of the Company’s revenue is denominated in U.S. dollars while a significant portion of its costs and expenses is denominated in Canadian dollars. A portion of the Company’s net U.S. dollar cash flows is converted to Canadian dollars to fund Canadian dollar expenses through the spot market. In addition, IMAX films generate box office in 75 different countries, and therefore unfavorable exchange rates between applicable local currencies and the U.S. dollar could have an impact on the Company’s reported gross box office and revenues. The Company has incoming cash flows from its revenue generating theaters and ongoing operating expenses in China through its majority-owned subsidiary IMAX Shanghai Multimedia Technology Co., Ltd. In Japan, the Company has ongoing Yen-denominated operating expenses related to its Japanese operations. Net Renminbi and Japanese Yen cash flows are converted to U.S. dollars through the spot market. The Company also has cash receipts under leases denominated in Renminbi, Japanese Yen, Euros and Canadian dollars.

The Company manages its exposure to foreign exchange rate risks through the Company’s regular operating and financing activities and, when appropriate, through the use of derivative financial instruments. These derivative financial instruments are utilized to hedge economic exposures as well as reduce earnings and cash flow volatility resulting from shifts in market rates.

The Company’s subsidiaries, IMAX (Shanghai) Multimedia Technology Co., Ltd. and IMAX (Shanghai) Theatre Technology Services Co. Ltd., held approximately 202.5 million Renminbi ($29.4 million U.S dollars) in cash and cash equivalents in the PRC as at March 31, 2017 (December 31, 2016 — 218.2 million Renminbi or $31.5 million U.S. dollars) and are required to transact locally in Renminbi. Foreign currency exchange transactions, including the remittance of any funds into and out of the PRC, are subject to controls and require the approval of the China State Administrative of Foreign Exchange to complete. Any developments relating to the Chinese economy and any actions taken by the China government are beyond the control of the Company, however, the Company monitors and manages its capital and liquidity requirements to ensure compliance with local regulatory and policy requirements.

For the three months ended March 31, 2017, the Company recorded a foreign exchange loss of less than $0.1 million as compared to a foreign exchange gain of $0.5 million for the three months ended March 31, 2016, associated with the translation of foreign currency denominated monetary assets and liabilities.

The Company entered into a series of foreign currency forward contracts to manage the Company’s risks associated with the volatility of foreign currencies. The forward contracts have settlement dates throughout 2017 and 2018. Foreign currency derivatives are recognized and measured in the balance sheet at fair value. Changes in the fair value (gains or losses) are recognized in the condensed consolidated statements of operations except for derivatives designated and qualifying as foreign currency cash flow hedging instruments. All foreign currency forward contracts held by the Company as at March 31, 2017, are designated and qualify as foreign currency cash flow hedging instruments. For foreign currency cash flow hedging instruments, the effective portion of the gain or loss in a hedge of a forecasted transaction is reported in other comprehensive income and reclassified to the condensed consolidated statements of operations when the forecasted transaction occurs. Any ineffective portion is recognized immediately in the condensed consolidated statements of operations. The notional value of foreign currency cash flow hedging instruments at March 31, 2017 was $39.8 million (December 31, 2016 — $37.8 million). A gain of $0.3 million was recorded to Other Comprehensive Income with respect to the change in fair value of these contracts for the three months ended March 31, 2017 (2016 — gain of $2.2 million). A loss of $0.3 million was reclassified from Accumulated Other Comprehensive Income to selling, general and administrative expenses for the three months ended March 31, 2017 (2016 — loss of $1.3 million). The Company’s estimated net amount of the existing gains as at March 31, 2017 is $0.4 million, which is expected to be reclassified to earnings within the next twelve months. Appreciation or depreciation on forward contracts not meeting the requirements for hedge accounting in the Derivatives and Hedging Topic of the FASB Accounting Standards Codification are recorded to selling, general and administrative expenses.

 

66


Table of Contents

For all derivative instruments, the Company is subject to counterparty credit risk to the extent that the counterparty may not meet its obligations to the Company. To manage this risk, the Company enters into derivative transactions only with major financial institutions.

At March 31, 2017, the Company’s financing receivables and working capital items denominated in Canadian dollars, Renminbi, Yen and Euros translated into U.S. dollars was $68.1 million. Assuming a 10% appreciation or depreciation in foreign currency exchange rates from the quoted foreign currency exchange rates at March 31, 2017, the potential change in the fair value of foreign currency-denominated financing receivables and working capital items would have been $6.8 million. A significant portion of the Company’s selling, general, and administrative expenses is denominated in Canadian dollars. Assuming a 1% change appreciation or depreciation in foreign currency exchange rates at March 31, 2017, the potential change in the amount of selling, general, and administrative expenses would be $0.1 million for every $10.0 million in Canadian denominated expenditures.

Interest Rate Risk Management

The Company’s earnings are also affected by changes in interest rates due to the impact those changes have on its interest income from cash, and its interest expense from variable-rate borrowings under the Credit Facility.

As at March 31, 2017, the Company had not drawn down on its Credit Facility (December 31, 2016 — $nil).

As at March 31, 2017, the Company had drawn down $27.2 million on its Playa Vista Loan (December 31, 2016 — $27.7 million).

The Company’s largest exposure with respect to variable rate debt comes from changes in the LIBOR. The Company had variable rate debt instruments representing 12.5% and 12.0% of its total liabilities at March 31, 2017 and December 31, 2016, respectively. If the interest rates available to the Company increased by 10%, the Company’s interest expense would increase by approximately $0.1 million and interest income from cash would increase by approximately $0.1 million. These amounts are determined by considering the impact of the hypothetical interest rates on the Company’s variable rate debt and cash balances at March 31, 2017.

Item 4. Controls and Procedures

EVALUATION OF DISCLOSURE CONTROLS AND PROCEDURES

The Company maintains disclosure controls and procedures designed to ensure that information required to be disclosed in reports filed under the Securities Exchange Act of 1934, as amended, is recorded, processed, summarized and reported within the specified time periods and that such information is accumulated and communicated to management, including the CEO and Chief Financial Officer (“CFO”), to allow timely discussions regarding required disclosure. There are inherent limitations to the effectiveness of any system of disclosure controls and procedures, including the possibility of human error and the circumvention or overriding of the controls and procedures. Accordingly, even effective disclosure controls and procedures can only provide reasonable assurance of achieving their control objectives.

The Company’s management, with the participation of its CEO and its CFO, has evaluated the effectiveness of the Company’s “disclosure controls and procedures” (as defined in the Securities Exchange Act of 1934 Rules 13a-15(e) or 15d-15(e)) as at March 31, 2017 and has concluded that, as of the end of the period covered by this report, the Company’s disclosure controls and procedures were effective. The Company will continue to periodically evaluate its disclosure controls and procedures and will make modifications from time to time as deemed necessary to ensure that information is recorded, processed, summarized and reported within the time periods specified in the SEC’s rules and forms.

CHANGES IN INTERNAL CONTROL OVER FINANCIAL REPORTING

There were no changes in the Company’s internal control over financial reporting which occurred during the three months ended March 31, 2017, that have materially affected, or are reasonably likely to materially affect, the Company’s internal control over financial reporting.

 

67


Table of Contents

PART II. OTHER INFORMATION

Item 1. Legal Proceedings

See note 8 to the accompanying condensed consolidated financial statements in Item 1 for information regarding legal proceedings involving the Company.

Item 1A. Risk Factors

In addition to the other information set forth in this Form 10-Q, the reader should carefully consider the factors disclosed in Part I, Item 1A “Risk Factors” in the Company’s 2016 Form 10-K. The risks described in the Company’s Form 10-K are not the only risks facing the Company. Additional risks and uncertainties not currently known to the Company or that are currently deemed to be immaterial also may materially adversely affect its business, financial condition and/or operating results.

Item 6. Exhibits

 

Exhibit

No.

  

Description

31.1    Certification Pursuant to Section 302 of the Sarbanes — Oxley Act of 2002, dated April 20, 2017, by Richard L. Gelfond.
31.2    Certification Pursuant to Section 302 of the Sarbanes — Oxley Act of 2002, dated April 20, 2017, by Patrick McClymont.
32.1    Certification Pursuant to Section 906 of the Sarbanes — Oxley Act of 2002, dated April 20, 2017, by Richard L. Gelfond.
32.2    Certification Pursuant to Section 906 of the Sarbanes — Oxley Act of 2002, dated April 20, 2017, by Patrick McClymont.

 

68


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.

 

  IMAX CORPORATION
Date: April 20, 2017   By:  

/s/ PATRICK MCCLYMONT

    Patrick McClymont
    Executive Vice-President & Chief Financial Officer
    (Principal Financial Officer)
Date: April 20, 2017   By:  

/s/ JEFFREY VANCE

    Jeffrey Vance
    Senior Vice-President, Finance & Controller
    (Principal Accounting Officer)

 

69

EX-31.1 2 d381026dex311.htm EX-31.1 EX-31.1

IMAX CORPORATION

Exhibit 31.1

Certification Pursuant to Section 302 of the Sarbanes - Oxley Act of 2002

I, Richard L. Gelfond, certify that:

 

1. I have reviewed this Quarterly Report on Form 10-Q for the quarter ended March 31, 2017 of the registrant, IMAX Corporation;

 

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 officers 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 officers 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 weaknesses 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.

 

Date: April 20, 2017   By:  

/s/ Richard L. Gelfond

  Name:   Richard L. Gelfond
  Title:   Chief Executive Officer
EX-31.2 3 d381026dex312.htm EX-31.2 EX-31.2

IMAX CORPORATION

Exhibit 31.2

Certification Pursuant to Section 302 of the Sarbanes - Oxley Act of 2002

I, Patrick McClymont, certify that:

 

1. I have reviewed this Quarterly Report on Form 10-Q for the quarter ended March 31, 2017 of the registrant, IMAX Corporation;

 

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 officers 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 officers 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 weaknesses 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.

 

Date: April 20, 2017   By:  

/s/ Patrick McClymont

  Name:   Patrick McClymont
  Title:   Chief Financial Officer &
    Executive Vice President
EX-32.1 4 d381026dex321.htm EX-32.1 EX-32.1

IMAX CORPORATION

Exhibit 32.1

CERTIFICATIONS

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

(Subsections (A) and (B) of Section 1350, Chapter 63 of Title 18, United States Code)

Pursuant to section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code), I, Richard L. Gelfond, Chief Executive Officer & Director of IMAX Corporation, a Canadian corporation (the “Company”), hereby certify, to my knowledge, that:

The Quarterly Report on Form 10-Q for the quarter ended March 31, 2017 (the “Form 10-Q”) of the Company fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934, and information contained in the Form 10-Q fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

Date: April 20, 2017   By:  

/s/ Richard L. Gelfond

  Name:   Richard L. Gelfond
  Title:   Chief Executive Officer
EX-32.2 5 d381026dex322.htm EX-32.2 EX-32.2

IMAX CORPORATION

Exhibit 32.2

CERTIFICATIONS

Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002

(Subsections (A) and (B) of Section 1350, Chapter 63 of Title 18, United States Code)

Pursuant to section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code), I, Patrick McClymont, Chief Financial Officer & Executive Vice President of IMAX Corporation, a Canadian corporation (the “Company”), hereby certify, to my knowledge, that:

The Quarterly Report on Form 10-Q for the quarter ended March 31, 2017 (the “Form 10-Q”) of the Company fully complies with the requirements of section 13(a) or 15(d) of the Securities Exchange Act of 1934, and information contained in the Form 10-Q fairly presents, in all material respects, the financial condition and results of operations of the Company.

 

Date: April 20, 2017   By:  

/s/ Patrick McClymont

  Name:   Patrick McClymont
  Title:   Chief Financial Officer &
    Executive Vice President
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The Playa Vista Loan is being amortized over 15 years. The Playa Vista Loan will be fully due and payable on October 19, 2025. P120M 10000000 10000000 0 100000 The Company was in compliance with all of its requirements at March 31, 2017. 30000000 341000 351000 26826000 27316000 27167000 27667000 On February 22, 2016, the Company amended the terms of the Credit Agreement to increase the general restricted payment basket thereunder (which covers, among other things, the repurchase of shares) from $150 million to $350 million in the aggregate after the amendment date. 1500000 0 0 The Playa Vista Loan is secured by a deed of trust from PV Borrower in favor of Wells Fargo, granting a first lien on and security interest in the Playa Vista property and the Playa Vista Project, including all improvements to the constructed thereon, and other documents evidencing and securing the loan (the "Loan Documents"). 0 0 0 0 10400000 Amount of $11.3 million plus an additional $2,512 each day in interest from October 1, 2007 until the date the award is paid $30,000 to cover the costs of the application 24000000 100000 2950000 100000 less than 100000 less than 10 longer 1 4 46 997 649 400000 700000 2400000 3000000 100000 -100000 300000 100000 100000 -500000 15700000 23400000 18 17 23408000 29805000 400000 400000 500000 200000 0.125 less than less than less than 82000 574000 -75000 -332000 200000 200000 29700000 21000000 29500000 20800000 0 -5000 900000 -300000 600000 0 0.0240 P4Y8M16D P5Y9M29D 0.3000 0.0000 5190542 4805244 28.35 27.03 679030 323925 -584589 -43750 5268603 5083377 29.49 27.42 3945034 3507573 28.68 26.52 1124180 973637 33.01 32.27 373540 351584 32.45 31.85 201793 190298 31.25 29.47 1275421 1131831 33.13 32.61 75000 11302000 13082000 273000 3270000 1596000 -6506000 3554000 -3270000 313000 285000 312000 -157000 On June 16, 2014, the Company’s board of directors approved a new $150.0 million share repurchase program for shares of the Company’s common stock, which program was amended on April 20, 2016 to increase the aggregate purchase allowance to $200.0 million. Purchases under the program commenced during the third quarter of 2014, and the program expires on June 30, 2017. The repurchases may be made either in the open market or through private transactions, subject to market conditions, applicable legal requirements and other relevant factors. The Company has no obligation to repurchase shares and the share repurchase program may be suspended or discontinued by the Company at any time. 150000000 2017-06-30 0 1446418 1350000 2400000 400000 11226190 12012572 5264000 5900000 5268603 9.08 8.55 0 0 17000 38750 29.64 26.79 17000 26325 29.64 26.99 100000 100000 0 100000 100000 -100000 less than 0 0 21268000 P4Y7M6D 6000000 600000 3945034 1613340 2630005 3400000 3100000 1 1 1900000 1900000 37062000 32000000 P2Y7M6D P2Y8M12D P4Y0M0D P1Y0M0D 1785013 3245033 171673 615028 201793 190298 7127 5563 190084 181227 17000 -16380 -2042 20506 3092 32.31 32.43 less than 4582 3508 200000 200000 400000 300000 66159902 69673244 202826 -294269 66362728 69378975 817104 740951 67179832 70119926 368624 200000000 On April 20, 2016 to increase the aggregate purchase allowance to $200.0 million. 0.0172 P4Y9M14D P4Y10M17D 0.3000 0.0000 100000 23706 32.38 -7025000 100000 P0Y0M0D 300000 P4Y0M0D less than 1300000 30.82 32.16 31.85 22.38 16.91 31.69 31.85 0 100000 39726 46300000 0 0 0 181277 32.28 66093 260274 1160000 25198000 3282000 18590000 5813000 8429000 1654000 3183000 2508000 35544000 7077000 24939000 11486000 5559000 3527000 1692000 2304000 No single country in the Rest of the World, Western Europe, Latin America and Asia (excluding Greater China) classifications comprises more than 10% of the total revenue. The Company’s reportable segments are now under four primary groups identified by nature of product sold or service provided: (1) Network Business, representing variable revenue generated by box-office results and which includes the reportable segment of IMAX DMR and contingent rent from the joint revenue sharing arrangements and IMAX systems segments; (2) Theater Business, representing revenue generated by the sale and installation of theater systems and maintenance services, primarily related to the IMAX Systems and Theater System Maintenance reportable segments, and also includes fixed hybrid revenues and upfront installation costs from the joint revenue sharing arrangements segment and after-market sales of projection system parts and 3D glasses from the other segment; (3) New Business, which includes content licensing and distribution fees associated with our original content investments, virtual reality initiatives, IMAX Home Entertainment, and other business initiatives that are in the development and/or start-up phase, and (4) Other; which includes the film post-production and distribution segments and certain IMAX theaters that the Company owns and operates, camera rentals and other miscellaneous items from the other segment. The accounting policies of the segments are the same as those described in note 2 to the audited consolidated financial statements included in the Company’s 2016 Form 10-K. In addition, refer to Item 2 of the Company’s Form 10-Q for additional information regarding the four primary groups mentioned above. Transactions between the IMAX DMR segment and the film post-production segment are valued at exchange value. Inter-segment profits are eliminated upon consolidation. 2600000 2300000 -200000 700000 400000 500000 400000 100000 2 4 17.2% 16% 8 19580000 19478000 107000 261000 0 -159000 19687000 65000 107000 65000 0 0 0 21115000 0 0 21115000 21000 24000 26000 33000 36000 514000 654000 92000 99000 105000 108000 110000 1244000 1758000 300000 19700000 19600000 0.05 The Company also maintains defined contribution pension plans for its employees, including its executive officers. The Company makes contributions to these plans on behalf of employees in an amount up to 5% of their base salary subject to certain prescribed maximums. 329000 401000 234000 221000 100000 100000 100000 100000 654000 647000 1758000 1745000 less than less than less than less than 0 107000 65000 107000 65000 In September 2016, the Company entered into a new employment agreement with Greg Foster, CEO of IMAX Entertainment, which provides for an employment term from July 2, 2016 through July 2, 2019. Under the agreement, the Company agreed to create a deferred compensation plan (the “Retirement Plan”) covering Mr. Foster, and to make a total contribution of $3.2 million over the three-year employment term. The Retirement Plan is subject to a vesting schedule based on continued employment with the Company, such that 25% will vest July 2019; 50% will vest July 2022; 75% will vest July 2025; and will be 100% vested in July 2027. P2Y3M2D 3200000 800000 500000 300000 0 The SERP assumptions are that Mr. Gelfond will receive a lump sum payment six months after retirement at the end of the current term of his employment agreement (December 31, 2019), although Mr. Gelfond has not informed the Company that he intends to retire at that time. 190481000 190481000 204759000 204759000 112682000 113792000 114041000 115014000 7808000 8163000 8084000 8372000 1000000 1010000 1000000 1007000 302000 302000 -296000 -296000 7465000 0 1015000 7741000 0 1015000 110249000 633000 611000 111568000 842000 611000 117714000 633000 1626000 121656000 119309000 842000 1626000 123291000 1015000 -672000 1015000 -672000 611000 611000 -494000 -494000 1626000 1626000 -1166000 -1166000 898000 7142000 8040000 968000 6485000 7453000 7582000 106035000 113617000 7788000 108050000 115838000 672000 494000 1166000 672000 494000 1166000 8480000 113176000 8756000 114535000 7808000 112682000 120490000 8084000 114041000 122125000 41000 1884000 1925000 94000 2379000 2473000 763000 2879000 3642000 28000 2393000 2421000 159000 1724000 1883000 781000 2368000 3149000 38000 146000 184000 61000 968000 1029000 293000 2280000 2573000 392000 3394000 3786000 0 284000 284000 54000 634000 688000 244000 1854000 2098000 298000 2772000 3070000 2237000 25876000 28113000 1646000 20147000 21793000 0 0 0 0 0 0 2629000 29270000 31899000 1944000 22919000 24863000 525000 748000 75000 414000 0 0 0 0 525000 748000 75000 414000 494000 643000 494000 643000 525000 748000 0 0 0 0 0 0 525000 748000 0 0 0 0 0 0 0 0 672000 494000 8480000 113176000 39802000 37825000 604000 480000 -302000 -776000 313000 2207000 285000 1277000 0 0 -200000 -400000 900000 2200000 -700000 -1800000 1000000 1000000 3500000 0 0 60-89 days Once a theater’s aging exceeds 90 days, the Company’s policy is to review and assess collectibility on the theat Over 90 days past due is used by the Company as an indicator of potential impairment as invoices up to 90 days outstanding could be considered reasonable due to the time required for dispute resolution or for the provision of further information or supporting documentation to the customer 302000 -296000 400000 27167000 27167000 27667000 27667000 672000 0 0 0 672000 672000 10577000 568000 0 0 75000 643000 643000 110387000 700000 1000000 1000000 1000000 1000000 0.05 2019-09-26 0 1683000 1683000 0 1514000 1514000 1000000 -47000 0 0 0 1000000 0 1500000 3000000 2000000 4980000 -2425000 2555000 1463000 -146000 61171000 59562000 On April 8, 2014, the Company announced the sale and issuance of 20.0% of the shares in IMAX China to entities owned and controlled by CMC Capital Partners ("CMC"), an investment fund focused on media and entertainment, and FountainVest Partners ("FountainVest"), a China-focused private equity firm. In 2014, the Company announced the creation of the Film Fund to co-finance a portfolio of 10 original large-format films. The Film Fund, which is intended to be capitalized with up to $50.0 million, will finance an ongoing supply of original films that the Company believes will be more exciting and compelling than traditional documentaries. The initial investment in the Film Fund was committed to by a third party in the amount of $25.0 million, with the possibility of contributing additional funds. The Company agreed to contribute $9.0 million to the Film Fund over five years starting in 2014 and sees the Film Fund as a self-perpetuating vehicle designed to generate a continuous, steady flow of high-quality documentary content. 0.2 10 50000000 5 9000000 40000000 40000000 25000000 13400000 0.682 9500000 <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">All intercompany accounts and transactions, including all unrealized intercompany profits on transactions with equity-accounted investees, have been eliminated.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The year-end condensed consolidated balance sheet data was derived from audited financial statements, but does not include all disclosures required by U.S.</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">GAAP.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">These interim financial statements should be read in conjunction with the consolidated financial statements included in the Company&#8217;s </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> Annual Report on Form</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">10-K for the year ended December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> (&#8220;the </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> Form</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">10-K&#8221;) which should be consulted for a summary of the significant accounting policies utilized by the Company. These interim financial statements are prepared following accounting policies consistent with the Company&#8217;s financial statements for the year ended December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, except as noted below. Certain prior period information has been revised to reflect the current period information.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The condensed consolidated financial statements include the accounts of the Company together with its consolidated subsidiaries, except for subsidiaries which the Company has identified as variable interest entities (&#8220;VIEs&#8221;) where the Company is not the primary beneficiary. The nature of the Company&#8217;s business is such that the results of operations for the interim periods presented are not necessarily indicative of results to be expected for the fiscal year. In the opinion of management, the information contained herein reflects all normal and recurring adjustments necessary to make the results of operations for the interim periods a fair statement of such operations.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has evaluated its various variable interests to determine whether they are VIEs as required by the Consolidation Topic of the Financial Accounting Standards Board (&#8220;FASB&#8221;) Accounting Standards Codification (&#8220;ASC&#8221; or &#8220;Codification&#8221;).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has nine film production companies that are VIEs. For four of the Company&#8217;s film production companies, the Company has determined that it is the primary beneficiary of these entities as the Company has the power to direct the activities of the respective VIE that most significantly impact the respective VIE&#8217;s economic performance and has the obligation to absorb losses of the VIE that could potentially be significant to the respective VIE or the right to receive benefits from the respective VIE that could potentially be significant to the respective VIE. These consolidated production companies have total assets of $</font><font style="font-family:'Times New Roman'">5.8</font><font style="font-family:'Times New Roman'"> million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">10.3</font><font style="font-family:'Times New Roman'"> million) and total liabilities of $</font><font style="font-family:'Times New Roman'">6.5</font><font style="font-family:'Times New Roman'"> million as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">6.4</font><font style="font-family:'Times New Roman'"> million). The majority of these consolidated assets are held by the IMAX Original Film Fund (the &#8220;Film Fund&#8221;) as described in note 16(b). For the other five film production companies which are VIEs, the Company did not consolidate these film entities since it does not have the power to direct activities and does not absorb the majority of the expected losses or expected residual returns. The Company equity accounts for these entities. As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, these five VIEs have total assets of $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'"> million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million) and total liabilities of $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'"> million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million). Earnings of the investees included in the Company&#8217;s condensed consolidated statements of operations amounted to $nil for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $nil). The carrying value of these investments in VIEs that are not consolidated is $nil at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $nil). A loss in value of an investment other than a temporary decline is recognized as a charge to the condensed consolidated statements of operations. The Company&#8217;s exposure, which is determined based on the level of funding contributed by the Company and the development stage of the respective film, is $nil at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $nil).</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company accounts for investments in new business ventures using the guidance of the FASB ASC 323 &#8220;Investments &#8211; Equity Method and Joint Ventures&#8221; (&#8220;ASC 323&#8221;) or ASC 320 &#8220;Investments in Debt and Equity Securities&#8221; (&#8220;ASC 320&#8221;), as appropriate.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">1.&#160; Basis of Presentation</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX Corporation, together with its consolidated subsidiaries (the &#8220;Company&#8221;), prepares its financial statements in accordance with United States Generally Accepted Accounting Principles (&#8220;U.S.</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">GAAP&#8221;).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_eeff002712c5476db2d3a209cd76a5d1"><font style="font-family:'Times New Roman'">The condensed consolidated financial statements include the accounts of the Company together with its consolidated subsidiaries, except for subsidiaries which the Company has identified as variable interest entities (&#8220;VIEs&#8221;) where the Company is not the primary beneficiary. The nature of the Company&#8217;s business is such that the results of operations for the interim periods presented are not necessarily indicative of results to be expected for the fiscal year. In the opinion of management, the information contained herein reflects all normal and recurring adjustments necessary to make the results of operations for the interim periods a fair statement of such operations.</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has evaluated its various variable interests to determine whether they are VIEs as required by the Consolidation Topic of the Financial Accounting Standards Board (&#8220;FASB&#8221;) Accounting Standards Codification (&#8220;ASC&#8221; or &#8220;Codification&#8221;).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has nine film production companies that are VIEs. For four of the Company&#8217;s film production companies, the Company has determined that it is the primary beneficiary of these entities as the Company has the power to direct the activities of the respective VIE that most significantly impact the respective VIE&#8217;s economic performance and has the obligation to absorb losses of the VIE that could potentially be significant to the respective VIE or the right to receive benefits from the respective VIE that could potentially be significant to the respective VIE. These consolidated production companies have total assets of $</font><font style="font-family:'Times New Roman'">5.8</font><font style="font-family:'Times New Roman'"> million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">10.3</font><font style="font-family:'Times New Roman'"> million) and total liabilities of $</font><font style="font-family:'Times New Roman'">6.5</font><font style="font-family:'Times New Roman'"> million as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">6.4</font><font style="font-family:'Times New Roman'"> million). The majority of these consolidated assets are held by the IMAX Original Film Fund (the &#8220;Film Fund&#8221;) as described in note 16(b). For the other five film production companies which are VIEs, the Company did not consolidate these film entities since it does not have the power to direct activities and does not absorb the majority of the expected losses or expected residual returns. The Company equity accounts for these entities. As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, these five VIEs have total assets of $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'"> million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million) and total liabilities of $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'"> million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million). Earnings of the investees included in the Company&#8217;s condensed consolidated statements of operations amounted to $nil for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $nil). The carrying value of these investments in VIEs that are not consolidated is $nil at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $nil). A loss in value of an investment other than a temporary decline is recognized as a charge to the condensed consolidated statements of operations. The Company&#8217;s exposure, which is determined based on the level of funding contributed by the Company and the development stage of the respective film, is $nil at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $nil).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_af2679ad42434d898d35d7e2304316a5"><font style="font-family:'Times New Roman'">The Company accounts for investments in new business ventures using the guidance of the FASB ASC 323 &#8220;Investments &#8211; Equity Method and Joint Ventures&#8221; (&#8220;ASC 323&#8221;) or ASC 320 &#8220;Investments in Debt and Equity Securities&#8221; (&#8220;ASC 320&#8221;), as appropriate.</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_4d46d157e0534c30b50c11f1ec4e258b"><font style="font-family:'Times New Roman'">All intercompany accounts and transactions, including all unrealized intercompany profits on transactions with equity-accounted investees, have been eliminated.</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The year-end condensed consolidated balance sheet data was derived from audited financial statements, but does not include all disclosures required by U.S.</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">GAAP.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">These interim financial statements should be read in conjunction with the consolidated financial statements included in the Company&#8217;s </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> Annual Report on Form</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">10-K for the year ended December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> (&#8220;the </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> Form</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">10-K&#8221;) which should be consulted for a summary of the significant accounting policies utilized by the Company. These interim financial statements are prepared following accounting policies consistent with the Company&#8217;s financial statements for the year ended December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, except as noted below. Certain prior period information has been revised to reflect the current period information.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In February 2016, the FASB issued ASU No. 2016-02, &#8220;Leases (Topic 842)&#8221; (&#8220;ASU 2016-02&#8221;). The purpose of the amendment is to help investors and other financial statement users better understand the amount, timing, and uncertainty of cash flows arising from leases. New disclosures will include qualitative and quantitative requirements to provide additional information about the amounts recorded in the financial statements. Lessor accounting will remain largely unchanged from current guidance, however ASU 2016-02 will provide improvements that are intended to align lessor accounting with the lessee model and with updated revenue recognition guidance. For public entities, the amendments in ASU 2016-02 are effective for interim and annual reporting periods beginning after December 15, 2018. While the Company continues to evaluate the effect of the standard on its ongoing financial reporting, it anticipates that the adoption of ASU 2016-02 will result in a change to its financial statement disclosures.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In March 2016, the FASB issued ASU No. 2016-08, &#8220;Revenue from Contracts with Customers (Topic 606): Principal versus Agent Considerations&#8221; (&#8220;ASU 2016-08&#8221;). The purpose of ASU 2016-08 is to clarify the implementation of guidance on principal versus agent considerations. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In April 2016, the FASB issued ASU No. 2016-10, &#8220;Revenue from Contracts with Customers (Topic 606): Identifying Performance Obligations and Licensing&#8221; (&#8220;ASU 2016-10&#8221;). The purpose of ASU 2016-10 is to provide more detailed guidance in the following key areas: identifying performance obligations and licenses of intellectual property. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In May 2016, the FASB issued ASU No. 2016-11, to rescind from the FASB Accounting Standards Codification certain SEC paragraphs as a result of two SEC Staff Announcements at the March 3, 2016 meeting. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In May 2016, the FASB issued ASU No. 2016-12, &#8220;Revenue from Contracts with Customers (Topic 606): Narrow-Scope Improvements and Practical Expedients&#8221; (&#8220;ASU 2016-12&#8221;). The purpose of ASU 2016-12 is to clarify certain narrow aspects of Topic 606 such as assessing the collectibility criterion, presentation of sales taxes and other similar taxes collected from customers, noncash consideration, contract modifications at transition, completed contracts at transition, and technical corrections. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In December 2016, the FASB issued ASU No. 2016-20, &#8220;Technical Corrections and Improvements to Topic 606, Revenue from Contracts with Customers&#8221;. The amendments in ASU 2016-20 represent changes to clarify the accounting standard codification, correct unintended application of guidance, or make minor improvements to the accounting standards codification that are related to Topic 606, Revenue from Contracts with Customers. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">For public companies, ASU 2016-08, ASU 2016-10, ASU 2016-11, ASU 2016-12 and ASU 2016-20, which are all related to Topic 606, are effective for interim and annual reporting periods beginning after December 15, 2017. The Company has performed an analysis of its contracts to determine those in scope of the standard, has performed detailed analyses of those contracts and identified its performance obligations.</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'"> The Company is currently in the process of determining contract consideration and is determining the appropriate timing for revenue recognition of those performance obligations. </font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">Since many of the Company&#8217;s contracts involve variable payments tied to box-office, the Company is currently assessing an appropriate constraint to variable revenue streams in determining contract consideration under the new standard.</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'"> The Company currently intends to adopt the new standard using the modified retrospective method and has begun the process of gathering historical information on its contracts in preparation for the standard&#8217;s expanded disclosure requirements.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In June 2016, the FASB issued ASU No. 2016-13, &#8220;Financial Instruments &#8211; Credit Losses (Topic 326): Measurement of Credit Losses on Financial Instruments&#8221; (&#8220;ASU 2016-13&#8221;). The purpose of ASU 2016-13 is to require a financial asset measured on the amortized cost basis to be presented at the net amount expected to be collected. Credit losses relating to available-for-sale debt securities should be recorded through an allowance for credit losses. For public entities, the amendments in ASU 2016-13 are effective for interim and annual reporting periods beginning after December 15, 2019. The Company is currently assessing the impact of ASU 2016-13 on its condensed consolidated financial statements.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In January 2017, the FASB issued ASU No. 2017-01, &#8220;Business Combinations (Topic 805): Clarifying the Definition of a Business&#8221; (&#8220;ASU 2017-01&#8221;). The purpose of the amendment is to clarify the definition of a business with the objective of adding guidance to assist entities with evaluating whether transactions should be accounted for as acquisitions (or disposals) of assets or businesses. For public entities, the amendments in ASU 2017-01 are effective for interim and annual reporting periods beginning after December 15, 2017. The adoption of this ASU 2017-01 is not expected to have a material impact to the Company&#8217;s condensed consolidated financial statements. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In January 2017, the FASB issued ASU No. 2017-04, &#8220;Intangibles &#8211; Goodwill and Other (Topic 350): Simplifying the Test for Goodwill Impairment&#8221; (&#8220;ASU 2017-04&#8221;). The purpose of the amendment is to simplify how an entity is required to test goodwill for impairment by eliminating Step 2 from the goodwill impairment test. Step 2 measures a goodwill impairment loss by comparing the implied fair value of a reporting unit&#8217;s goodwill with the carrying amount of that goodwill. For public entities, the amendments in ASU 2017-04 are effective for interim and annual reporting periods beginning after December 15, 2019. The Company is currently assessing the impact of ASU 2017-04 on its condensed consolidated financial statements.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In March 2017, the FASB issued ASU No. 2017-07, &#8220;Compensation &#8211; Retirement Benefits (Topic 715): Improving the Presentation of Net Periodic Pension Cost and Net Periodic Postretirement Benefit Cost&#8221; (&#8220;ASU 2017-07&#8221;). The amendment requires the service cost component of net periodic benefit cost be presented in the same income statement line item as other employee compensation costs arising from services rendered during the period and other components of the net periodic benefit cost be presented separately from the line item that includes the service cost and outside of any subtotal of operating income. For public entities, the amendments in ASU 2017-07 are effective for interim and annual reporting periods beginning after December 15, 2017. The Company is currently assessing the impact of ASU 2017-07 on its condensed consolidated financial statements. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company considers the applicability and impact of all recently issued FASB accounting standard codification updates. Accounting standards updates that are not noted above were assessed and determined to be not applicable or not significant to the Company&#8217;s condensed consolidated financial statements for the period ended </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In July 2015, the FASB issued ASU No. 2015-11, &#8220;Inventory (Topic 330): Simplifying the Measurement of Inventory&#8221; (&#8220;ASU 2015-11&#8221;). The purpose of the amendment is to more closely align the measurement of inventory in U.S. GAAP with the measurement of inventory in International Financial Reporting Standards. Under the ASU inventory is measured at the lower of cost and net realizable value. The clarifications are not intended to result in any changes in practice and to reduce the complexity in guidance on the subsequent measurement of inventory. This standard only applies to inventory being measured using the first-in, first-out or average cost methods of accounting for inventory. The adoption of ASU 2015-11 did not have an impact to the Company&#8217;s condensed consolidated financial statements.&#160; </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In March 2016, the FASB issued ASU No. 2016-05, &#8220;Derivatives and Hedging (Topic 815): Effect of Derivative Contract Novations on Existing Hedge Accounting Relationships&#8221; (&#8220;ASU 2016-05&#8221;). The amendments in ASU 2016-05 apply to all reporting entities for which there is a change in the counterparty to a derivative instrument that has been designated as a hedging instrument under Topic 815. The amendments clarify that a change in the counterparty to a derivative instrument that has been designated as the hedging instrument under Topic 815 does not, in and of itself, require de-designation of that hedging relationship provided that all other hedge accounting criteria (including those in paragraphs 815-20-35-14 through 35-18) continue to be met. The adoption of this ASU 2016-05 did not have an impact to the Company&#8217;s condensed consolidated financial statements.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In March 2016, the FASB issued ASU No. 2016-07, &#8220;Investments &#8211; Equity Method and Joint Ventures (Topic 323): Simplifying the Transition to the Equity Method of Accounting&#8221; (&#8220;ASU 2016-07&#8221;). The purpose of the amendment is to eliminate the requirement that when an investment qualifies for use of the equity method as a result of an increase in the level of ownership interest or degree of influence, an investor must adjust the investment, results of operations, and retained earnings retroactively on a step-by step basis as if the equity method had been in effect during all previous periods that the investment had been held. The adoption of ASU 2016-07 did not have an impact to the Company&#8217;s condensed consolidated financial statements.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In October 2016, the FASB issued ASU No. 2016-16, &#8220;Income Taxes (Topic 740)&#8221;. The purpose of ASU 2016-16 is to eliminate the exception for an intra-entity transfer of an asset other than inventory. The amendments require the recognition of the income tax consequences of an intra-entity transfer of an asset, other than inventory, when the transfer occurs. The Company has elected to early adopt ASU 2016-16 during the quarter ended March 31, 2017. The impact from the adoption was reflected in the Company&#8217;s condensed consolidated financial statements on a modified retrospective basis resulting in an increase to Accumulated deficit of $8.3 million, a decrease to Other assets of $14.8 million, an increase to Deferred taxes of $7.9 million and an increase to Accrued and other liabilities of $1.4 million.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In October 2016, the FASB issued ASU No. 2016-17, &#8220;Consolidation (Topic 810)&#8221;. The purpose of ASU 2016-17 is to update the requirement of the reporting entity, in determining whether it satisfies the second characteristic of a primary beneficiary, to include all of its direct variable interests in a VIE and, on a proportionate basis, its indirect variable interests in a VIE held through related parties, including related parties that are under common control with the reporting entity. The adoption of ASU 2016-17 did not have an impact to the Company&#8217;s condensed consolidated financial statements.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">2.&#160; New Accounting Standards and Accounting Changes</font><font style="font-family:'Times New Roman'; font-weight:bold"> </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:8pt; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">Adoption of New Accounting Policies</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company adopted the following standards on January 1, 2017, which are effective for annual periods ending after December 31, 2016, and for annual and interim periods thereafter. </font></p><p style="margin-top:0pt; margin-bottom:8pt; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_4485a7b4c2394bce88aed73fce9d7c21"><font style="font-family:'Times New Roman'">In July 2015, the FASB issued ASU No. 2015-11, &#8220;Inventory (Topic 330): Simplifying the Measurement of Inventory&#8221; (&#8220;ASU 2015-11&#8221;). The purpose of the amendment is to more closely align the measurement of inventory in U.S. GAAP with the measurement of inventory in International Financial Reporting Standards. Under the ASU inventory is measured at the lower of cost and net realizable value. The clarifications are not intended to result in any changes in practice and to reduce the complexity in guidance on the subsequent measurement of inventory. This standard only applies to inventory being measured using the first-in, first-out or average cost methods of accounting for inventory. The adoption of ASU 2015-11 did not have an impact to the Company&#8217;s condensed consolidated financial statements.&#160; </font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In March 2016, the FASB issued ASU No. 2016-05, &#8220;Derivatives and Hedging (Topic 815): Effect of Derivative Contract Novations on Existing Hedge Accounting Relationships&#8221; (&#8220;ASU 2016-05&#8221;). The amendments in ASU 2016-05 apply to all reporting entities for which there is a change in the counterparty to a derivative instrument that has been designated as a hedging instrument under Topic 815. The amendments clarify that a change in the counterparty to a derivative instrument that has been designated as the hedging instrument under Topic 815 does not, in and of itself, require de-designation of that hedging relationship provided that all other hedge accounting criteria (including those in paragraphs 815-20-35-14 through 35-18) continue to be met. The adoption of this ASU 2016-05 did not have an impact to the Company&#8217;s condensed consolidated financial statements.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In March 2016, the FASB issued ASU No. 2016-07, &#8220;Investments &#8211; Equity Method and Joint Ventures (Topic 323): Simplifying the Transition to the Equity Method of Accounting&#8221; (&#8220;ASU 2016-07&#8221;). The purpose of the amendment is to eliminate the requirement that when an investment qualifies for use of the equity method as a result of an increase in the level of ownership interest or degree of influence, an investor must adjust the investment, results of operations, and retained earnings retroactively on a step-by step basis as if the equity method had been in effect during all previous periods that the investment had been held. The adoption of ASU 2016-07 did not have an impact to the Company&#8217;s condensed consolidated financial statements.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In October 2016, the FASB issued ASU No. 2016-16, &#8220;Income Taxes (Topic 740)&#8221;. The purpose of ASU 2016-16 is to eliminate the exception for an intra-entity transfer of an asset other than inventory. The amendments require the recognition of the income tax consequences of an intra-entity transfer of an asset, other than inventory, when the transfer occurs. The Company has elected to early adopt ASU 2016-16 during the quarter ended March 31, 2017. The impact from the adoption was reflected in the Company&#8217;s condensed consolidated financial statements on a modified retrospective basis resulting in an increase to Accumulated deficit of $8.3 million, a decrease to Other assets of $14.8 million, an increase to Deferred taxes of $7.9 million and an increase to Accrued and other liabilities of $1.4 million.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In October 2016, the FASB issued ASU No. 2016-17, &#8220;Consolidation (Topic 810)&#8221;. The purpose of ASU 2016-17 is to update the requirement of the reporting entity, in determining whether it satisfies the second characteristic of a primary beneficiary, to include all of its direct variable interests in a VIE and, on a proportionate basis, its indirect variable interests in a VIE held through related parties, including related parties that are under common control with the reporting entity. The adoption of ASU 2016-17 did not have an impact to the Company&#8217;s condensed consolidated financial statements.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:8pt; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">Recently Issued FASB Accounting Standard Codification Updates</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_a5f818f055984c96a52c400293031643"><font style="font-family:'Times New Roman'">In February 2016, the FASB issued ASU No. 2016-02, &#8220;Leases (Topic 842)&#8221; (&#8220;ASU 2016-02&#8221;). The purpose of the amendment is to help investors and other financial statement users better understand the amount, timing, and uncertainty of cash flows arising from leases. New disclosures will include qualitative and quantitative requirements to provide additional information about the amounts recorded in the financial statements. Lessor accounting will remain largely unchanged from current guidance, however ASU 2016-02 will provide improvements that are intended to align lessor accounting with the lessee model and with updated revenue recognition guidance. For public entities, the amendments in ASU 2016-02 are effective for interim and annual reporting periods beginning after December 15, 2018. While the Company continues to evaluate the effect of the standard on its ongoing financial reporting, it anticipates that the adoption of ASU 2016-02 will result in a change to its financial statement disclosures.</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In March 2016, the FASB issued ASU No. 2016-08, &#8220;Revenue from Contracts with Customers (Topic 606): Principal versus Agent Considerations&#8221; (&#8220;ASU 2016-08&#8221;). The purpose of ASU 2016-08 is to clarify the implementation of guidance on principal versus agent considerations. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In April 2016, the FASB issued ASU No. 2016-10, &#8220;Revenue from Contracts with Customers (Topic 606): Identifying Performance Obligations and Licensing&#8221; (&#8220;ASU 2016-10&#8221;). The purpose of ASU 2016-10 is to provide more detailed guidance in the following key areas: identifying performance obligations and licenses of intellectual property. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In May 2016, the FASB issued ASU No. 2016-11, to rescind from the FASB Accounting Standards Codification certain SEC paragraphs as a result of two SEC Staff Announcements at the March 3, 2016 meeting. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In May 2016, the FASB issued ASU No. 2016-12, &#8220;Revenue from Contracts with Customers (Topic 606): Narrow-Scope Improvements and Practical Expedients&#8221; (&#8220;ASU 2016-12&#8221;). The purpose of ASU 2016-12 is to clarify certain narrow aspects of Topic 606 such as assessing the collectibility criterion, presentation of sales taxes and other similar taxes collected from customers, noncash consideration, contract modifications at transition, completed contracts at transition, and technical corrections. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In December 2016, the FASB issued ASU No. 2016-20, &#8220;Technical Corrections and Improvements to Topic 606, Revenue from Contracts with Customers&#8221;. The amendments in ASU 2016-20 represent changes to clarify the accounting standard codification, correct unintended application of guidance, or make minor improvements to the accounting standards codification that are related to Topic 606, Revenue from Contracts with Customers. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">For public companies, ASU 2016-08, ASU 2016-10, ASU 2016-11, ASU 2016-12 and ASU 2016-20, which are all related to Topic 606, are effective for interim and annual reporting periods beginning after December 15, 2017. The Company has performed an analysis of its contracts to determine those in scope of the standard, has performed detailed analyses of those contracts and identified its performance obligations.</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'"> The Company is currently in the process of determining contract consideration and is determining the appropriate timing for revenue recognition of those performance obligations. </font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">Since many of the Company&#8217;s contracts involve variable payments tied to box-office, the Company is currently assessing an appropriate constraint to variable revenue streams in determining contract consideration under the new standard.</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'"> The Company currently intends to adopt the new standard using the modified retrospective method and has begun the process of gathering historical information on its contracts in preparation for the standard&#8217;s expanded disclosure requirements.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In June 2016, the FASB issued ASU No. 2016-13, &#8220;Financial Instruments &#8211; Credit Losses (Topic 326): Measurement of Credit Losses on Financial Instruments&#8221; (&#8220;ASU 2016-13&#8221;). The purpose of ASU 2016-13 is to require a financial asset measured on the amortized cost basis to be presented at the net amount expected to be collected. Credit losses relating to available-for-sale debt securities should be recorded through an allowance for credit losses. For public entities, the amendments in ASU 2016-13 are effective for interim and annual reporting periods beginning after December 15, 2019. The Company is currently assessing the impact of ASU 2016-13 on its condensed consolidated financial statements.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In January 2017, the FASB issued ASU No. 2017-01, &#8220;Business Combinations (Topic 805): Clarifying the Definition of a Business&#8221; (&#8220;ASU 2017-01&#8221;). The purpose of the amendment is to clarify the definition of a business with the objective of adding guidance to assist entities with evaluating whether transactions should be accounted for as acquisitions (or disposals) of assets or businesses. For public entities, the amendments in ASU 2017-01 are effective for interim and annual reporting periods beginning after December 15, 2017. The adoption of this ASU 2017-01 is not expected to have a material impact to the Company&#8217;s condensed consolidated financial statements. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In January 2017, the FASB issued ASU No. 2017-04, &#8220;Intangibles &#8211; Goodwill and Other (Topic 350): Simplifying the Test for Goodwill Impairment&#8221; (&#8220;ASU 2017-04&#8221;). The purpose of the amendment is to simplify how an entity is required to test goodwill for impairment by eliminating Step 2 from the goodwill impairment test. Step 2 measures a goodwill impairment loss by comparing the implied fair value of a reporting unit&#8217;s goodwill with the carrying amount of that goodwill. For public entities, the amendments in ASU 2017-04 are effective for interim and annual reporting periods beginning after December 15, 2019. The Company is currently assessing the impact of ASU 2017-04 on its condensed consolidated financial statements.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In March 2017, the FASB issued ASU No. 2017-07, &#8220;Compensation &#8211; Retirement Benefits (Topic 715): Improving the Presentation of Net Periodic Pension Cost and Net Periodic Postretirement Benefit Cost&#8221; (&#8220;ASU 2017-07&#8221;). The amendment requires the service cost component of net periodic benefit cost be presented in the same income statement line item as other employee compensation costs arising from services rendered during the period and other components of the net periodic benefit cost be presented separately from the line item that includes the service cost and outside of any subtotal of operating income. For public entities, the amendments in ASU 2017-07 are effective for interim and annual reporting periods beginning after December 15, 2017. The Company is currently assessing the impact of ASU 2017-07 on its condensed consolidated financial statements. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company considers the applicability and impact of all recently issued FASB accounting standard codification updates. Accounting standards updates that are not noted above were assessed and determined to be not applicable or not significant to the Company&#8217;s condensed consolidated financial statements for the period ended </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Financing receivables, consisting of net investment in sales-type leases and receivables from financed sales of theater systems are as follows:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:539.25pt; border-collapse:collapse"><tr style="height:10.5pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00005_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:66.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:10.5pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:66.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Gross minimum lease payments receivable</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,119</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,466</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Unearned finance income</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,639)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,710)</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Minimum lease payments receivable</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,480</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,756</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accumulated allowance for uncollectible amounts</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,808</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,084</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Gross financed sales receivables</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">151,561</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">154,301</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Unearned finance income</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(38,385)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(39,766)</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Financed sales receivables</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,176</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,535</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accumulated allowance for uncollectible amounts</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">112,682</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,041</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total financing receivables</font></p></td><td style="width:8.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">120,490</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">122,125</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables due within one year</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,645</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,980</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables due after one year</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">90,037</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">92,061</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">3. Financing Receivables</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_15cc6a068f77445b82bbd396f07692a8"><font style="font-family:'Times New Roman'">Financing receivables, consisting of net investment in sales-type leases and receivables from financed sales of theater systems are as follows:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:539.25pt; border-collapse:collapse"><tr style="height:10.5pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00005_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:66.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:10.5pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:66.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Gross minimum lease payments receivable</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,119</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,466</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Unearned finance income</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,639)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,710)</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Minimum lease payments receivable</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,480</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,756</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accumulated allowance for uncollectible amounts</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,808</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,084</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Gross financed sales receivables</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">151,561</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">154,301</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Unearned finance income</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(38,385)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(39,766)</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Financed sales receivables</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,176</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,535</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accumulated allowance for uncollectible amounts</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:8.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">112,682</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,041</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total financing receivables</font></p></td><td style="width:8.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">120,490</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">122,125</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables due within one year</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,645</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,980</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:378.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables due after one year</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">90,037</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">92,061</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the financed sale receivables had a weighted average effective interest rate of </font><font style="font-family:'Times New Roman'">9.3</font><font style="font-family:'Times New Roman'">% (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; </font><font style="font-family:'Times New Roman'">9.3</font><font style="font-family:'Times New Roman'">%).</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00006_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Raw materials </font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31,565</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Work-in-process</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,994</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,818</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Finished goods</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">9,874</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,303</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">45,433</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">42,121</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">4.&#160; Inventories</font><font style="font-family:'Times New Roman'; font-weight:bold"> </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_dd50c72b7fd1491b9e53c400e0480bb7"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00006_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:65.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Raw materials </font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31,565</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Work-in-process</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,994</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,818</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Finished goods</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">9,874</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,303</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:381pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">45,433</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">42,121</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">At </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, finished goods inventory for which title had passed to the customer and revenue was deferred amounted to $</font><font style="font-family:'Times New Roman'">3.3</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">2.3</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">During the three months ended </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the Company recognized write-downs for excess and obsolete inventory based upon current estimates of net realizable value considering future events and conditions of $nil (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.2</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million).</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00007_1_1"></a><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="8" style="width:186pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accumulated</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Book</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Cost</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Depreciation</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Value</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Equipment leased or held for use</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater system components</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">227,636</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">93,280</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">134,356</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Camera equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,990</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,879</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,111</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">233,626</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">97,159</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">136,467</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Assets under construction</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,175</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,175</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other property, plant and equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Land</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Buildings</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">70,692</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">15,439</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">55,253</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Office and production equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">42,513</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">23,412</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,101</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Leasehold improvements</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,452</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,423</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,029</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">131,860</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">42,274</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">89,586</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">387,661</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">139,433</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">248,228</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="8" style="width:186pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accumulated</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Book</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Cost</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Depreciation</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Value</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Equipment leased or held for use</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater system components</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">224,890</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">89,218</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">135,672</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Camera equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,739</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,732</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,007</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">230,629</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">92,950</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">137,679</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Assets under construction</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">18,315</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">18,315</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other property, plant and equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Land</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Buildings</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">69,861</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">14,877</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">54,984</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Office and production equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">41,128</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,935</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,193</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Leasehold improvements</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,067</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,026</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,041</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">129,259</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">39,838</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">89,421</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">378,203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">132,788</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">245,415</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:12pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">5.&#160; Property Plant and Equipment</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_5aca5bad4f194291b1dc4a87060b2b02"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00007_1_1"></a><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="8" style="width:186pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accumulated</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Book</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Cost</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Depreciation</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Value</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Equipment leased or held for use</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater system components</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">227,636</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">93,280</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">134,356</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Camera equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,990</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,879</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,111</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">233,626</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">97,159</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">136,467</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Assets under construction</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,175</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,175</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other property, plant and equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Land</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Buildings</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">70,692</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">15,439</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">55,253</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Office and production equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">42,513</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">23,412</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,101</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Leasehold improvements</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,452</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,423</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,029</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">131,860</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">42,274</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">89,586</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">387,661</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">139,433</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">248,228</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="8" style="width:186pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accumulated</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Book</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Cost</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Depreciation</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:51pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Value</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Equipment leased or held for use</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater system components</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">224,890</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">89,218</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">135,672</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Camera equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,739</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,732</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,007</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">230,629</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">92,950</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">137,679</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Assets under construction</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">18,315</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">18,315</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other property, plant and equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Land</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Buildings</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">69,861</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">14,877</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">54,984</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Office and production equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">41,128</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,935</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,193</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Leasehold improvements</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,067</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,026</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,041</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">129,259</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">39,838</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">89,421</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:342pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">378,203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">132,788</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">245,415</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, estimated amortization expense for each of the years ended December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, are as follows:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:477.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00009_1_1"></a><font style="font-family:'Times New Roman'">2017 (nine months remaining)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,774</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:477.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2018</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,699</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:477.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2019</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,699</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:477.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2020</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,699</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:477.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2021</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,699</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:12pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00008_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="8" style="width:181.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accumulated</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Book</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Cost</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Amortization</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Value</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Patents and trademarks</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,578</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,216</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,362</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Licenses and intellectual property</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,167</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">6,522</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">14,645</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">16,686</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,587</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">12,099</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">49,431</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">18,325</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31,106</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="8" style="width:181.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accumulated</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Book</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Cost</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Amortization</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Value</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Patents and trademarks</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,395</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,046</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,349</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Licenses and intellectual property</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,490</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,620</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">14,870</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">15,352</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,155</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,197</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">49,237</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">18,821</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">30,416</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:12pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">6.&#160; Other Intangible Assets</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><a name="DM_MAP_a54e7cc07d6147db8c6e3acd3c0cc4af"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00008_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="8" style="width:181.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accumulated</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Book</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Cost</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Amortization</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Value</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Patents and trademarks</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,578</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,216</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,362</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Licenses and intellectual property</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,167</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">6,522</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">14,645</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">16,686</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,587</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">12,099</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">49,431</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">18,325</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31,106</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="8" style="width:181.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accumulated</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Book</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Cost</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Amortization</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Value</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Patents and trademarks</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,395</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,046</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,349</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Licenses and intellectual property</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,490</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,620</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">14,870</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">15,352</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,155</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,197</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:346.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">49,237</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">18,821</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">30,416</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Other intangible assets of $</font><font style="font-family:'Times New Roman'">16.7</font><font style="font-family:'Times New Roman'"> million are comprised mainly of the Company&#8217;s investment in an enterprise resource planning system. Fully amortized other intangible assets are still in use by the Company.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">During the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">, the Company acquired $</font><font style="font-family:'Times New Roman'">1.6</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million in other intangible assets. The weighted average amortization period for these additions was </font><font style="font-family:'Times New Roman'">10</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">years.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">During the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">, the Company incurred costs of $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'"> million, to renew or extend the term of acquired other intangible assets which were recorded in selling, general and administrative expenses (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8211; $0.1</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_50f610117707434ca353dea090d22ce3"><font style="font-family:'Times New Roman'">As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, estimated amortization expense for each of the years ended December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, are as follows:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:477.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00009_1_1"></a><font style="font-family:'Times New Roman'">2017 (nine months remaining)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,774</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:477.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2018</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,699</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:477.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2019</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,699</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:477.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2020</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,699</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:477.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2021</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,699</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Bank indebtedness includes the following:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:411pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00010_1_1"></a><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:411pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:411pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Playa Vista Loan</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27,167</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27,667</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:411pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Deferred charges on debt financing</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(341)</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(351)</font></p></td></tr><tr style="height:13.5pt"><td style="width:411pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">26,826</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27,316</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In accordance with the loan agreement, the Company is obligated to make payments on the principal of the loan as follows:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00011_1_1"></a><font style="font-family:'Times New Roman'">2017 (nine months remaining)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,500</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2018</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2019</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2020</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2021</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Thereafter</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">17,667</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27,167</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">7.&#160; Credit Facility and Playa Vista Loan</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#160; </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company maintains a senior secured credit facility (the &#8220;Credit Facility&#8221;) with a maximum borrowing capacity of $</font><font style="font-family:'Times New Roman'">200.0</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million and a scheduled maturity of March 3, 2020. The Credit Facility is collateralized by a first priority security interest in substantially all of the present and future assets of the Company and the Guarantors. Certain of the Company&#8217;s subsidiaries serve as guarantors (the &#8220;Guarantors&#8221;) of the Company&#8217;s obligations under the Credit Facility. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The terms of the Credit Facility are set forth in the Fourth Amended and Restated Credit Agreement (as amended, the &#8220;Credit Agreement&#8221;), dated March 3, 2015, among the Company, the Guarantors, the lenders named therein, Wells Fargo Bank, National Association (&#8220;Wells Fargo&#8221;), as agent and issuing lender (Wells Fargo, together with the lenders named therein, the &#8220;Lenders&#8221;) and Wells Fargo Securities, LLC, as Sole Lead Arranger and Sole Bookrunner and in various collateral and security documents entered into by the Company and the Guarantors. Each of the Guarantors has also entered into a guarantee in respect of the Company&#8217;s obligations under the Credit Facility. On February 22, 2016, the Company amended the terms of the Credit Agreement to increase the general restricted payment basket thereunder (which covers, among other things, the repurchase of shares) from $150.0 million to $350.0 million in the aggregate after the amendment date.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company was in compliance with all of its requirements at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Total amounts drawn and available under the Credit Facility at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> were $nil and $</font><font style="font-family:'Times New Roman'">200.0</font><font style="font-family:'Times New Roman'"> million, respectively (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; $nil and $</font><font style="font-family:'Times New Roman'">200.0</font><font style="font-family:'Times New Roman'"> million, respectively).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the Company did not have any letters of credit and advance payment guarantees outstanding (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; $nil), under the Credit Facility.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">Playa Vista Financing</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX PV Development Inc., a Delaware corporation (&#8220;PV Borrower&#8221;) and wholly-owned subsidiary of the Company, entered into a loan agreement with Wells Fargo. The loan (the &#8220;Playa Vista Loan&#8221;) was used to principally fund the costs of development and construction of the West Coast headquarters of the Company, located in the Playa Vista neighborhood of Los Angeles, California (the &#8220;Playa Vista Project&#8221;). </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In connection with the Playa Vista Project, the Playa Vista Loan was fully drawn at $30.0 million and bears interest at a variable rate per annum equal to 2.0% above the 30-day LIBOR rate. PV Borrower is required to make monthly payments of combined principal and interest over a 10-year term with a lump sum payment at the end of year 10. The Playa Vista Loan is being amortized over 15 years. The Playa Vista Loan will be fully due and payable on October 19, 2025 (the &#8220;Maturity Date&#8221;), and may be prepaid at any time without premium, but with all accrued interest and other applicable payments.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Playa Vista Loan is secured by a deed of trust from PV Borrower in favor of Wells Fargo and other documents evidencing and securing the loan (the &#8220;Loan Documents&#8221;), granting a first lien on and security interest in the Playa Vista property and the Playa Vista Project, including all improvements to be constructed thereon. The Loan Documents include absolute and unconditional payment and completion guarantees provided by the Company to Wells Fargo for the performance by PV Borrower of all the terms and provisions of the Playa Vista Loan.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Loan Documents contain affirmative, negative and financial covenants (including compliance with the financial covenants of the Company&#8217;s outstanding Credit Facility), agreements, representations, warranties, borrowing conditions, and events of default customary for development projects such as the Playa Vista Project.</font></p><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><br style="page-break-before:always; clear:both" /></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_8aa4989b78db44db85a2dc6d12c83b34"><font style="font-family:'Times New Roman'">Bank indebtedness includes the following:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:411pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00010_1_1"></a><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:411pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:411pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Playa Vista Loan</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27,167</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27,667</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:411pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Deferred charges on debt financing</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(341)</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(351)</font></p></td></tr><tr style="height:13.5pt"><td style="width:411pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">26,826</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27,316</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Total amounts drawn under the loan at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> was $</font><font style="font-family:'Times New Roman'">27.2</font><font style="font-family:'Times New Roman'"> million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; $</font><font style="font-family:'Times New Roman'">27.7</font><font style="font-family:'Times New Roman'"> million). The effective interest rate for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> was </font><font style="font-family:'Times New Roman'">2.85</font><font style="font-family:'Times New Roman'">% (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; </font><font style="font-family:'Times New Roman'">2.43</font><font style="font-family:'Times New Roman'">%).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_6e9912140381409098f717004bf0aaa3"><font style="font-family:'Times New Roman'">In accordance with the loan agreement, the Company is obligated to make payments on the principal of the loan as follows:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00011_1_1"></a><font style="font-family:'Times New Roman'">2017 (nine months remaining)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,500</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2018</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2019</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2020</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2021</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Thereafter</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">17,667</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:452.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:74.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27,167</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">Wells </font><font style="font-family:'Times New Roman'; font-style:italic">Fargo</font><font style="font-family:'Times New Roman'; font-style:italic"> Foreign Exchange Facility</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Within the Credit Facility, the Company is able to purchase foreign currency forward contracts and/or other swap arrangements. There is no settlement risk on its foreign currency forward contracts at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, as the fair value exceeded the notional value of the forward contracts. As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the Company has $</font><font style="font-family:'Times New Roman'">39.8</font><font style="font-family:'Times New Roman'"> million in notional value of such arrangements outstanding.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">Bank of </font><font style="font-family:'Times New Roman'; font-style:italic">Montreal</font><font style="font-family:'Times New Roman'; font-style:italic"> Facility</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the Company has available a $</font><font style="font-family:'Times New Roman'">10.0</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million facility (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">10.0</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million) with the Bank of Montreal for use solely in conjunction with the issuance of performance guarantees and letters of credit fully insured by Export Development Canada (the &#8220;Bank of Montreal Facility&#8221;). The Company did not have any letters of credit and advance payment guarantees outstanding as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'"> million) under the Bank of Montreal Facility.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company is involved in lawsuits, claims, and proceedings, including those identified below, which arise in the ordinary course of business. In accordance with the Contingencies Topic of the FASB ASC, the Company will make a provision for a liability when it is both probable that a loss has been incurred and the amount of the loss can be reasonably estimated. The Company believes it has adequate provisions for any such matters. The Company reviews these provisions in conjunction with any related provisions on assets related to the claims at least quarterly and adjusts these provisions to reflect the impacts of negotiations, settlements, rulings, advice of legal counsel and other pertinent information related to the case. Should developments in any of these matters outlined below cause a change in the Company&#8217;s determination as to an unfavorable outcome and result in the need to recognize a material provision, or, should any of these matters result in a final adverse judgment or be settled for significant amounts, they could have a material adverse effect on the Company&#8217;s results of operations, cash flows, and financial position in the period or periods in which such a change in determination, settlement or judgment occurs.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company expenses legal costs relating to its lawsuits, claims and proceedings as incurred.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">8.&#160; Contingencies and Guarantees</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_b65e1e3b93fd470483666f8370436ecd"><font style="font-family:'Times New Roman'">The Company is involved in lawsuits, claims, and proceedings, including those identified below, which arise in the ordinary course of business. In accordance with the Contingencies Topic of the FASB ASC, the Company will make a provision for a liability when it is both probable that a loss has been incurred and the amount of the loss can be reasonably estimated. The Company believes it has adequate provisions for any such matters. The Company reviews these provisions in conjunction with any related provisions on assets related to the claims at least quarterly and adjusts these provisions to reflect the impacts of negotiations, settlements, rulings, advice of legal counsel and other pertinent information related to the case. Should developments in any of these matters outlined below cause a change in the Company&#8217;s determination as to an unfavorable outcome and result in the need to recognize a material provision, or, should any of these matters result in a final adverse judgment or be settled for significant amounts, they could have a material adverse effect on the Company&#8217;s results of operations, cash flows, and financial position in the period or periods in which such a change in determination, settlement or judgment occurs.</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_58b47a056e424cf68cab24ae5fcca0f6"><font style="font-family:'Times New Roman'">The Company expenses legal costs relating to its lawsuits, claims and proceedings as incurred.</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol type="a" style="margin:0pt; padding-left:0pt"><li style="text-indent:18pt; text-align:justify; page-break-after:avoid; font-family:'Times New Roman'; font-size:10pt; list-style-position:inside"><font style="font:7pt 'Times New Roman'">&#xa0; </font><font>On May 15, 2006, the Company initiated arbitration against Three-Dimensional Media Group, Ltd. (&#8220;3DMG&#8221;) before the International Centre for Dispute Resolution in New York (the &#8220;ICDR&#8221;), alleging breaches of the license and consulting agreements between the Company and 3DMG. On June 15, 2006, 3DMG filed an answer denying any breaches and asserting counterclaims that the Company breached the parties&#8217; license agreement. On June 21, 2007, the ICDR unanimously denied 3DMG&#8217;s Motion for Summary Judgment filed on April 11, 2007 concerning the Company&#8217;s claims and 3DMG&#8217;s counterclaims. The proceeding was suspended on May 4, 2009 due to failure of 3DMG to pay fees associated with the proceeding. The proceeding was further suspended on October 11, 2010 pending resolution of re-examination proceedings involving one of 3DMG&#8217;s patents. Following a status conference on April 27, 2016 before the ICDR, the ICDR granted 3DMG leave to amend its answer and counterclaims, and subsequently lifted the stay in this matter. In its amended counterclaims, 3DMG seeks damages for alleged unpaid royalties and other fees under the license and consulting agreements. Discovery is currently ongoing and a final hearing before the ICDR has been scheduled for the week of July 10, 2017. Given the stage of discovery, the Company is unable to determine a range of potential damages in this matter. However, the Company believes that the amount of loss, if any, suffered in connection with the amended counterclaims would not have a material impact on the financial position or results of operations of the Company, although no assurance can be given with respect to the ultimate outcome of the arbitration.</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="2" type="a" style="margin:0pt; padding-left:0pt"><li style="text-indent:18pt; text-align:justify; page-break-after:avoid; font-family:'Times New Roman'; font-size:10pt; list-style-position:inside"><font style="font:7pt 'Times New Roman'"> </font><font>In January 2004, the Company and IMAX Theatre Services Ltd., a subsidiary of the Company, commenced an arbitration seeking damages before the International Court of Arbitration of the International Chamber of Commerce (the &#8220;ICC&#8221;) with respect to the breach by Electronic Media Limited (&#8220;EML&#8221;) of its December 2000 agreement with the Company. In June 2004, the Company commenced a related arbitration before the ICC against EML&#8217;s affiliate, E-City Entertainment (I) PVT Limited (&#8220;E-City&#8221;). On March 27, 2008, the arbitration panel issued a final award in favor of the Company in the amount of $11.3 million, consisting of past and future rents owed to the Company, plus interest and costs, as well as an additional $2,512 each day in interest from October 1, 2007 until the date the award is paid. In July 2008, E-City commenced a proceeding in Mumbai, India seeking an order that the ICC award may not be recognized in India. The Company has opposed that application on a number of grounds and seeks to have the ICC award recognized in India. On June 10, 2013, the Bombay High Court ruled that it has jurisdiction over the proceeding filed by E-City. The Company appealed that ruling to the Supreme Court of India, and on March 10, 2017, the Supreme Court set aside the Bombay High Court&#8217;s judgement and dismissed E-City&#8217;s petition. On March 29, 2017, the Company filed an Execution Application in the Bombay High Court seeking to enforce the ICC award against E-City and several related parties. On June 24, 2011, the Company commenced a proceeding in the Ontario Superior Court of Justice for recognition of the ICC final award. On December 2, 2011, the Ontario Court issued an order recognizing the final award and requiring E-City to pay the Company $30,000 to cover the costs of the application. In January 2013, the Company filed an action in the New York Supreme Court seeking to collect the amount owed to the Company by certain entities and individuals affiliated with E-City. On October 16, 2015, the New York Supreme Court denied the Company&#8217;s petition, and the Company is appealing that decision. On July 29, 2014, the Company commenced a separate proceeding to have the Canadian judgment against E-City recognized in New York, and on October 2, 2015, the New York Supreme Court granted IMAX&#8217;s request, recognizing the Canadian judgment and entering it as a New York judgment. On November 26, 2014, E-City filed a motion in the Bombay High Court seeking to enjoin IMAX from continuing the New York legal proceedings. On February 2, 2015, the Bombay High Court denied E-City&#8217;s request for an injunction. On March 16, 2015, E-City filed an appeal of this Bombay High Court decision.</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="3" type="a" style="margin:0pt; padding-left:0pt"><li style="text-indent:18pt; text-align:justify; page-break-after:avoid; font-family:'Times New Roman'; font-size:10pt; list-style-position:inside"><font style="font:7pt 'Times New Roman'">&#xa0; </font><font>In March 2013, IMAX (Shanghai) Multimedia Technology Co., Ltd. (&#8220;IMAX Shanghai&#8221;), the Company&#8217;s majority-owned subsidiary in China, received notice from the</font><font> Shanghai office of the General Administration of Customs (&#8220;Customs Authority&#8221;) that it had been selected for a customs audit (the &#8220;Audit&#8221;).</font><font>&#xa0;</font><font> A key issue raised by the Audit is the transfer pricing policy basis for the importation of IMAX theater systems by IMAX Shanghai into the</font><font> People&#8217;s Republic of China</font><font> and the applicability of customs duties and taxes to the trademark and technology license fees paid by IMAX Shanghai to the Company. In December 2016, the Customs Authority conclusively determined that any trademark, technology and warranty fees paid by IMAX Shanghai on systems revenue directly related to imported theater systems should be included as part of the tax cost base of these systems and subject to applicable duties and taxes.</font><font>&#xa0;</font><font> In connection with the conclusion, for the period beginning January 1, 2012 through October 31, 2016, IMAX Shanghai recorded $2.95 million in duties and taxes on the trademark, technology and warranty fees applicable to theater systems imported during that period and settled the payment in January 2017. In the course of the Audit, the Customs Authority discovered the underpayment by IMAX Shanghai of the freight and insurance portion of the customs duties and taxes applicable to the importation of certain IMAX theater systems during the period from October 2011 through March 2013 of approximately $0.1 million.</font><font>&#xa0;</font><font>Though IMAX Shanghai&#8217;s importation agent accepted responsibility for the error giving rise to the underpayment, the matter has been transferred to the Anti-Smuggling Bureau of the Customs Authority for further review. IMAX Shanghai is unable to assess the potential impact, if any, of this outstanding matter at this time.</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="4" type="a" style="margin:0pt; padding-left:0pt"><li style="text-indent:18pt; text-align:justify; page-break-after:avoid; font-family:'Times New Roman'; font-size:10pt; list-style-position:inside"><font style="font:7pt 'Times New Roman'"> </font><font>On November 11, 2013, </font><font>Giencourt Investments, S.A. (&#8220;Giencourt&#8221;) initiated arbitration before the International Centre for Dispute Resolution in Miami, Florida, based on alleged breaches by the Company of its theater agreement and related license agreement with Giencourt. Giencourt submitted its statement of claim in January 2015, the Company submitted its statement of defense and counterclaim in April 2015 and Giencourt submitted its arbitration reply paper in September 2015. An arbitration hearing for witness testimony was held during the week of December 14, 2015. At the hearing, Giencourt&#8217;s expert identified monetary damages of up to approximately $10.4 million, which Giencourt seeks to recover from the Company. The Company has asserted a counterclaim against Giencourt for breach of contract and seeks to recover lost profits in excess of $24.0 million under the agreements. In addition, on December 10, 2015, Giencourt made a motion to the panel seeking to enforce a purported settlement of the matter based on negotiations between Giencourt and the Company. The panel held a final hearing with closing arguments on October 20 and 21, 2016. On February 7, 2017, the panel issued a Partial Final Award (the &#8220;Award&#8221;), which held that the parties had reached a binding settlement, and therefore the panel did not reach the merits of the dispute. The Company strongly disputes that discussions about a potential resolution of this matter amounted to an enforceable settlement. The Company is currently reviewing the Award and assessing its response and potential next steps, including a potential challenge in Florida court on the grounds that the panel exceeded its jurisdiction. At this time, the Company is unable to determine the amounts that it may owe pursuant to the Award, or the timing of any such payments, and therefore no assurances can be given with respect to the ultimate outcome of the matter</font><font>.</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="5" type="a" style="margin:0pt; padding-left:0pt"><li style="text-indent:18pt; text-align:justify; page-break-after:avoid; font-family:'Times New Roman'; font-size:10pt; list-style-position:inside"><font style="font:7pt 'Times New Roman'">&#xa0; </font><font>In addition to the matters described above, the Company is currently involved in other legal proceedings or governmental inquiries which, in the opinion of the Company&#8217;s management, will not materially affect the Company&#8217;s financial position or future operating results, although no assurance can be given with respect to the ultimate outcome of any such proceedings.</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="6" type="a" style="margin:0pt; padding-left:0pt"><li style="text-indent:18pt; text-align:justify; page-break-after:avoid; font-family:'Times New Roman'; font-size:10pt; list-style-position:inside"><font style="font:7pt 'Times New Roman'">&#xa0;&#xa0; </font><font>In the normal course of business, the Company enters into agreements that may contain features that meet the definition of a guarantee. The Guarantees Topic of the FASB ASC defines a guarantee to be a contract (including an indemnity) that contingently requires the Company to make payments (either in cash, financial instruments, other assets, shares of its stock or provision of services) to a third party based on (a) changes in an underlying interest rate, foreign exchange rate, equity or commodity instrument, index or other variable, that is related to an asset, a liability or an equity security of the counterparty, (b) failure of another party to perform under an obligating agreement or (c) failure of another third party to pay its indebtedness when due.</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">Financial Guarantees</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has provided no significant financial guarantees to third parties. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">Product Warranties</font></p><p style="margin-top:0pt; margin-left:7.2pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s accrual for product warranties, that was recorded as part of accrued liabilities in the condensed consolidated balance sheets is less than $0.1 million at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and </font><font style="font-family:'Times New Roman'">December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, respectively. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">Director/Officer Indemnifications</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s General By-law contains an indemnification of its directors/officers, former directors/officers and persons who have acted at its request to be a director/officer of an entity in which the Company is a shareholder or creditor, to indemnify them, to the extent permitted by the</font><font style="font-family:'Times New Roman'; font-style:italic"> Canada Business Corporations Act</font><font style="font-family:'Times New Roman'">, against expenses (including legal fees), judgments, fines and any amounts actually and reasonably incurred by them in connection with any action, suit or proceeding in which the directors and/or officers are sued as a result of their service, if they acted honestly and in good faith with a view to the best interests of the Company. The nature of the indemnification prevents the Company from making a reasonable estimate of the maximum potential amount it could be required to pay to counterparties. The Company has purchased directors&#8217; and officers&#8217; liability insurance. No amount has been accrued in the condensed consolidated balance sheet as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> with respect to this indemnity.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">Other Indemnification Agreements</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In the normal course of the Company&#8217;s operations, the Company provides indemnifications to counterparties in transactions such as: theater system lease and sale agreements and the supervision of installation or servicing of the theater systems; film production, exhibition and distribution agreements; real property lease agreements; and employment agreements. These indemnification agreements require the Company to compensate the counterparties for costs incurred as a result of litigation claims that may be suffered by the counterparty as a consequence of the transaction or the Company&#8217;s breach or non-performance under these agreements. While the terms of these indemnification agreements vary based upon the contract, they normally extend for the life of the agreements. A small number of agreements do not provide for any limit on the maximum potential amount of indemnification; however, virtually all of the Company&#8217;s system lease and sale agreements limit such maximum potential liability to the purchase price of the system. The fact that the maximum potential amount of indemnification required by the Company is not specified in some cases prevents the Company from making a reasonable estimate of the maximum potential amount it could be required to pay to counterparties. Historically, the Company has not made any significant payments under such indemnifications and no amounts have been accrued in the condensed consolidated financial statements with respect to the contingent aspect of these indemnities.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company defers direct selling costs such as sales commissions and other amounts related to its sale and sales-type lease arrangements until the related revenue is recognized.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In a joint revenue sharing arrangement, the Company receives a portion of a theater&#8217;s box-office and concession revenues, and in some cases a small upfront or initial payment, in exchange for placing a theater system at the theater operator&#8217;s venue. Under joint revenue sharing arrangements, the customer has the ability and the right to operate the hardware components or direct others to operate them in a manner determined by the customer. The Company&#8217;s joint revenue sharing arrangements are typically non-cancellable for 10 years or longer with renewal provisions. Title to equipment under joint revenue sharing arrangements generally does not transfer to the customer. The Company&#8217;s joint revenue sharing arrangements do not contain a guarantee of residual value at the end of the term. The customer is required to pay for executory costs such as insurance and taxes and is required to pay the Company for maintenance and extended warranty throughout the term. The customer is responsible for obtaining insurance coverage for the theater systems commencing on the date specified in the arrangement&#8217;s shipping terms and ending on the date the theater systems are delivered back to the Company.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In a typical IMAX DMR film arrangement, the Company receives a percentage, which in recent years has averaged approximately 12.5%, of net box-office receipts, defined as gross box office receipts less applicable sales taxes, of any commercial films released in the IMAX theater network outside of Greater China from the applicable film studio for the conversion of the film to the IMAX DMR format and for access to the Company&#8217;s premium distribution platform. Within Greater China, the Company receives a lower percentage of box-office receipts for certain films. The Company does not typically hold distribution rights or the copyright to those films.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The accounting policy for the Company&#8217;s joint revenue sharing arrangements is disclosed in note</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">2(m) of the Company&#8217;s </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> Form</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">10-K.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">9.&#160; Condensed Consolidated Statements of Operations Supplemental Information</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Selling Expenses</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_b7835b433b0f4b42b14bf7b3d032465b"><font style="font-family:'Times New Roman'">The Company defers direct selling costs such as sales commissions and other amounts related to its sale and sales-type lease arrangements until the related revenue is recognized.</font></a><font style="font-family:'Times New Roman'"> These costs and direct advertising and marketing, included in costs and expenses applicable to revenues-equipment and product sales, totaled $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.7</font><font style="font-family:'Times New Roman'"> million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Film exploitation costs, including advertising and marketing, totaled $</font><font style="font-family:'Times New Roman'">2.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">3.0</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million) and are recorded in costs and expenses applicable to revenues-services as incurred.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Commissions are recognized as costs and expenses applicable to revenues-rentals in the month they are earned. These costs totaled $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; recovery of less than $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million). Direct advertising and marketing costs for each theater are charged to costs and expenses applicable to revenues-rentals as incurred. These costs totaled an expense of $</font><font style="font-family:'Times New Roman'">0.3</font><font style="font-family:'Times New Roman'"> million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; less than $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'"> million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="2" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Foreign Exchange</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Included in selling, general and administrative expenses for the</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">is a loss of less than $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; gain of $</font><font style="font-family:'Times New Roman'">0.5</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million), for net foreign exchange gains/losses related to the translation of foreign currency denominated monetary assets and liabilities. See note 15(d) for additional information.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="3" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.07pt; text-align:justify; page-break-after:avoid; padding-left:2.73pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Collaborative Arrangements</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">Joint Revenue Sharing Arrangements</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_c6091d97da5a432e9a8d83194c2dd582"><font style="font-family:'Times New Roman'">In a joint revenue sharing arrangement, the Company receives a portion of a theater&#8217;s box-office and concession revenues, and in some cases a small upfront or initial payment, in exchange for placing a theater system at the theater operator&#8217;s venue. Under joint revenue sharing arrangements, the customer has the ability and the right to operate the hardware components or direct others to operate them in a manner determined by the customer. The Company&#8217;s joint revenue sharing arrangements are typically non-cancellable for 10 years or longer with renewal provisions. Title to equipment under joint revenue sharing arrangements generally does not transfer to the customer. The Company&#8217;s joint revenue sharing arrangements do not contain a guarantee of residual value at the end of the term. The customer is required to pay for executory costs such as insurance and taxes and is required to pay the Company for maintenance and extended warranty throughout the term. The customer is responsible for obtaining insurance coverage for the theater systems commencing on the date specified in the arrangement&#8217;s shipping terms and ending on the date the theater systems are delivered back to the Company.</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has signed joint revenue sharing agreements with </font><font style="font-family:'Times New Roman'">46</font><font style="font-family:'Times New Roman'"> exhibitors for a total of </font><font style="font-family:'Times New Roman'">997</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">theater systems, of which </font><font style="font-family:'Times New Roman'">649</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">theaters were operating as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the terms of which are similar in nature, rights and obligations. </font><a name="DM_MAP_d8ad54d3c49c4f169a6862075141b141"><font style="font-family:'Times New Roman'">The accounting policy for the Company&#8217;s joint revenue sharing arrangements is disclosed in note</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">2(m) of the Company&#8217;s </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> Form</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">10-K.</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Amounts attributable to transactions arising between the Company and its customers under joint revenue sharing arrangements are included in Equipment and Product Sales and Rentals revenue and for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> amounted to $</font><font style="font-family:'Times New Roman'">15.7</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">23.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">IMAX DMR </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In an IMAX DMR arrangement, the Company transforms conventional motion pictures into the Company&#8217;s large screen format, allowing the release of Hollywood content to the global IMAX theater network. </font><a name="DM_MAP_02d6c0bb48e64701a308a53a57842826"><font style="font-family:'Times New Roman'">In a typical IMAX DMR film arrangement, the Company receives a percentage, which in recent years has averaged approximately 12.5%, of net box-office receipts, defined as gross box office receipts less applicable sales taxes, of any commercial films released in the IMAX theater network outside of Greater China from the applicable film studio for the conversion of the film to the IMAX DMR format and for access to the Company&#8217;s premium distribution platform. Within Greater China, the Company receives a lower percentage of box-office receipts for certain films. The Company does not typically hold distribution rights or the copyright to those films.</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">For the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">, the majority of IMAX DMR revenue was earned from the exhibition of </font><font style="font-family:'Times New Roman'">18</font><font style="font-family:'Times New Roman'"> IMAX DMR films (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8211; </font><font style="font-family:'Times New Roman'">17</font><font style="font-family:'Times New Roman'">) throughout the IMAX theater network. The accounting policy for the Company&#8217;s IMAX DMR arrangements is disclosed in note</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">2(m) of the Company&#8217;s </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> Form</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">10-K.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Amounts attributable to transactions arising between the Company and its customers under IMAX DMR arrangements are included in Services revenue and for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> amounted to $</font><font style="font-family:'Times New Roman'">23.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">29.8</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">Co-Produced Film Arrangements</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In certain film arrangements, the Company co-produces a film with a third party whereby the third party retains the copyright and rights to the film and the Company obtains exclusive theatrical distribution rights to the film. Under these arrangements, both parties contribute funding to the Company&#8217;s wholly-owned production company for the production of the film and for associated exploitation costs. Clauses in the film arrangements generally provide for the third party to take over the production of the film if the cost of the production exceeds its approved budget or if it appears as though the film will not be delivered on a timely basis.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The accounting policies relating to co-produced film arrangements are disclosed in notes</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">2(a) and 2(m) of the Company&#8217;s </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> Form</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">10-K.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the Company has one significant co-produced film arrangement which represents the VIE total assets and liabilities balance of $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million and four other co-produced film arrangements, the terms of which are similar.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">For the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">, amounts totaling $</font><font style="font-family:'Times New Roman'">0.5</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.2</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million) attributable to transactions between the Company and other parties involved in the production of the films have been included in cost and expenses applicable to revenues-services.</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:538.5pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00012_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:135pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:135pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:51.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Decrease (increase) in:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accounts receivable</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">161</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">6,070</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Financing receivables</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,763</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,748)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Inventories</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(3,312)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(5,994)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Prepaid expenses</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,421)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(2,345)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Commissions and other deferred selling expenses</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(228)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">34</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Insurance recoveries</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(96)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">132</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other assets</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">100</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(441)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Increase (decrease) in:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accounts payable</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(6,041)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(2,470)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accrued and other liabilities</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(18,825)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(12,023)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Deferred revenue</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,619</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(2,998)</font></p></td></tr><tr style="height:13.5pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(17,280)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(21,783)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00013_1_1"></a><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="5" style="width:136.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:136.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:13.5pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Income taxes </font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,270</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">12,051</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:14.25pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Interest</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-top:1.5pt double #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">190</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-top:1.5pt double #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">180</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:537.75pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00014_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:135pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:135pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:51.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film assets</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,805</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,356</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Property, plant and equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Joint revenue sharing arrangements</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,246</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,738</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other property, plant and equipment</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,760</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,326</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other intangible assets</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">926</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">672</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other assets</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">220</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">205</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Deferred financing costs</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">131</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">141</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">12,088</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,438</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:538.5pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00015_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:132pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:132pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:7.5pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accounts receivable</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">185</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">126</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Inventories</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">184</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:15.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film assets</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(1)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,416</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:15.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Property, plant and equipment</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">409</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; color:#ff0000">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">329</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other intangible assets</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">9</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,010</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">648</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; color:#ff0000">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:12pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">10.&#160; Condensed Consolidated Statements of Cash Flows Supplemental Information</font><font style="font-family:'Times New Roman'; font-weight:bold"> </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol type="a" style="margin:0pt; padding-left:0pt"><li style="text-indent:18pt; text-align:justify; page-break-after:avoid; font-family:'Times New Roman'; font-size:10pt; list-style-position:inside"><font style="font:7pt 'Times New Roman'">&#xa0; </font><font>Changes in other non-cash operating assets and liabilities are comprised of the following:</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><a name="DM_MAP_6855200dc43b4ae6a1eff6aa6d295cfb"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:538.5pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00012_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:135pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:135pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:51.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Decrease (increase) in:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accounts receivable</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">161</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">6,070</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Financing receivables</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,763</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,748)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Inventories</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(3,312)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(5,994)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Prepaid expenses</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,421)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(2,345)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Commissions and other deferred selling expenses</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(228)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">34</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Insurance recoveries</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(96)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">132</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other assets</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">100</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(441)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Increase (decrease) in:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accounts payable</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(6,041)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(2,470)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accrued and other liabilities</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(18,825)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(12,023)</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Deferred revenue</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,619</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(2,998)</font></p></td></tr><tr style="height:13.5pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(17,280)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(21,783)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="2" type="a" style="margin:0pt; padding-left:0pt"><li style="text-indent:18pt; text-align:justify; page-break-after:avoid; font-family:'Times New Roman'; font-size:10pt; list-style-position:inside"><font style="font:7pt 'Times New Roman'"> </font><font>Cash payments made on account of:</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><a name="DM_MAP_79ae6f969c8b4b5ea08bc4a1c290eaec"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00013_1_1"></a><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="5" style="width:136.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:136.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:13.5pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Income taxes </font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,270</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">12,051</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:14.25pt"><td style="width:391.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Interest</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-top:1.5pt double #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">190</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-top:1.5pt double #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">180</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="3" type="a" style="margin:0pt; padding-left:0pt"><li style="text-indent:18pt; text-align:justify; page-break-after:avoid; font-family:'Times New Roman'; font-size:10pt; list-style-position:inside"><font style="font:7pt 'Times New Roman'">&#xa0; </font><font>Depreciation and amortization are comprised of the following: </font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><a name="DM_MAP_4ecec1b533f140e9b3919262210fe0b7"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:537.75pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00014_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:135pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:135pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:51.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film assets</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,805</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,356</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Property, plant and equipment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Joint revenue sharing arrangements</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,246</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,738</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other property, plant and equipment</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,760</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,326</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other intangible assets</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">926</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">672</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other assets</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">220</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">205</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Deferred financing costs</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">131</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">141</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:390.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">12,088</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:57.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,438</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><br style="page-break-before:always; clear:both" /></p><ol start="4" type="a" style="margin:0pt; padding-left:0pt"><li style="text-indent:18pt; text-align:justify; page-break-after:avoid; font-family:'Times New Roman'; font-size:10pt; list-style-position:inside"><font style="font:7pt 'Times New Roman'"> </font><font>Write-downs, net of recoveries, are comprised of the following:</font></li></ol><p style="margin-top:0pt; margin-left:7.2pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><a name="DM_MAP_5103f2c0d0824e8b83619f754290708a"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:538.5pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00015_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:132pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:132pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:7.5pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accounts receivable</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">185</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">126</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Inventories</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">184</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:15.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film assets</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(1)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,416</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:15.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Property, plant and equipment</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">409</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; color:#ff0000">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">329</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other intangible assets</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">9</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,010</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:56.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">648</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:394.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; color:#ff0000">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">__________</font></p><table cellspacing="0" cellpadding="0" style="border-collapse:collapse"><tr style="height:24.75pt"><td style="width:21.6pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">(1)</font></p></td><td style="width:518.4pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company reviewed the carrying value of certain documentary film assets as a result of lower than expected revenue being generated during the period and revised expectations for future revenues based on the latest information available. An impairment of $3.4 million was recorded based on the carrying value of these documentary films as compared to the related estimated future box office and revenues that would ultimately be generated by these films.</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:24.75pt"><td style="width:21.6pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">(2)</font></p></td><td style="width:518.4pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company recognized asset impairment charges of against property, plant and equipment after an assessment of the carrying value of certain assets in light of their future expected cash flows.</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00016_1_1"></a><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="5" style="width:103.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:103.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:43.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:43.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:6.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Unrealized change in cash flow hedging instruments</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(82)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(574)</font></p></td></tr><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Realized change in cash flow hedging instruments upon settlement</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(75)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(332)</font></p></td></tr><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Amortization of actuarial loss on postretirement benefit plan</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(5)</font></p></td></tr><tr style="height:13.5pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(157)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(911)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">11. Income Taxes</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p><ol type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Income Taxes</font></li></ol><p style="margin-top:0pt; margin-left:28.8pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s effective tax rate differs from the statutory tax rate and varies from year to year primarily as a result of permanent differences, investment and other tax credits, the provision for income taxes at different rates in foreign and other provincial jurisdictions, enacted statutory tax rate increases or reductions in the year, changes due to foreign exchange, changes in the Company&#8217;s valuation allowance based on the Company&#8217;s recoverability assessments of deferred tax assets, and favorable or unfavorable resolution of various tax examinations. During the quarter ended </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, there was no change in the Company&#8217;s estimates of the recoverability of its deferred tax assets based on an analysis of both positive and negative evidence including projected future earnings.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the Company had net deferred income tax assets after valuation allowance of $</font><font style="font-family:'Times New Roman'">29.5</font><font style="font-family:'Times New Roman'"> million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">20.8</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million), which consists of a gross deferred income tax asset of $</font><font style="font-family:'Times New Roman'">29.7</font><font style="font-family:'Times New Roman'"> million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">21.0</font><font style="font-family:'Times New Roman'"> million), against which the Company is carrying a $</font><font style="font-family:'Times New Roman'">0.2</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million valuation allowance (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.2</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">For the quarter ended </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the Company recorded a provision for income taxes of $0.1 million. Included in the provision for income taxes was a $0.3 million recovery for windfall tax benefits, offset by a $0.6 million provision related to the portion of losses applicable to non-controlling interests in the Company&#8217;s Film Fund.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has elected to early adopt ASU 2016-16 related to income taxes during the quarter ended March 31, 2017. The impact from the adoption was reflected in the Company&#8217;s condensed consolidated financial statements on a modified retrospective basis resulting in an increase to Accumulated deficit of $8.3 million, a decrease to Other assets of $14.8 million, an increase to Deferred taxes of $7.9 million and an increase to Accrued and other liabilities of $1.4 million.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company early adopted ASU 2016-09, related to stock-based compensation, in June 2016. ASU 2016-09 eliminates additional paid in capital (&quot;APIC&quot;) pools and requires excess tax benefits and tax deficiencies to be recorded in the condensed consolidated statements of operations when the awards vest or are settled. In addition, modified retrospective adoption of ASC 2016-09 eliminates the requirement that excess tax benefits be realized before they can be recognized. The Company has recorded an adjustment of $0.9 million to Deferred income taxes related to the impact from adoption of the provisions related to forfeiture rates. See note 12 for further discussion of the impact from the adoption of ASU 2016-09.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="2" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Income Tax Effect on Other Comprehensive Income</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The income tax expense included in the Company&#8217;s other comprehensive income are related to the following items:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_e8c7f56c094747fb8a5b03f9ba67c71d"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00016_1_1"></a><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="5" style="width:103.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:103.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:43.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:43.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:6.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Unrealized change in cash flow hedging instruments</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(82)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(574)</font></p></td></tr><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Realized change in cash flow hedging instruments upon settlement</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(75)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(332)</font></p></td></tr><tr style="height:12.75pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Amortization of actuarial loss on postretirement benefit plan</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(5)</font></p></td></tr><tr style="height:13.5pt"><td style="width:304.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:114pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(157)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(911)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following summarizes the movement of Shareholders&#8217; Equity attributable to common shareholders for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00021_1_1"></a><font style="font-family:'Times New Roman'">Balance as at December 31, 2016</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">562,012</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net income attributable to common shareholders</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">75</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Retrospective adjustment related to intra-entity transfers (notes 2 and 11)</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(8,314)</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Adjustments to capital stock:</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Cash received from the issuance of common shares</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">13,082</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Issuance of common shares for vested RSUs</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">273</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Fair value of stock options exercised at the grant date</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,270</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Share held in treasury</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,160</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Adjustments to other equity:</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Employee stock options granted</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,596</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Non-employee stock options granted and vested</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">17</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Fair value of stock options exercised at the grant date</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(3,270)</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">RSUs granted</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,554</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">RSUs vested</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(6,506)</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Stock exercised from treasury shares</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(7,025)</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Adjustments to accumulated other comprehensive loss:</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Unrealized net gain from cash flow hedging instruments</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">313</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Realization of cash flow hedging net loss upon settlement</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">285</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign currency translation adjustments</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">312</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Tax effect of movement in other comprehensive income</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(157)</font></p></td></tr><tr style="height:13.5pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Balance as at March 31, 2017</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">560,677</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:12pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following table summarizes certain information in respect of option activity under the SOP and IMAX LTIP for the three month periods ended </font><font style="font-family:'Times New Roman'">March 31</font><font style="font-family:'Times New Roman'">:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00018_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="3" style="width:103.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:3.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="4" style="width:105pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Weighted Average Exercise</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="3" style="width:103.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Number of Shares</font></p></td><td style="width:3.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="4" style="width:105pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Price Per Share</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td><td style="width:3.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Options outstanding, beginning of period</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,190,542</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,805,244</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28.35</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27.03</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Granted</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">679,030</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">323,925</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.16</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31.85</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Exercised</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(584,589)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(43,750)</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22.38</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">16.91</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Forfeited</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(16,380)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(2,042)</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31.69</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31.85</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Options outstanding, end of period</font></p></td><td style="width:51pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,268,603</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,083,377</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">29.49</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27.42</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:14.25pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Options exercisable, end of period</font></p></td><td style="width:51pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,945,034</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,507,573</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28.68</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">26.52</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:12pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following table summarizes certain information in respect of RSU activity under the IMAX LTIP for the three months ended </font><font style="font-family:'Times New Roman'">March 31</font><font style="font-family:'Times New Roman'">:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:27pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00019_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="3" style="width:102pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Number of Awards</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="5" style="width:117pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Weighted Average Grant Date Fair Value Per Share</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">RSUs outstanding, beginning of period</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,124,180</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">973,637</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">33.01</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.27</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Granted</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">373,540</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">351,584</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.45</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31.85</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Vested and settled</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(201,793)</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(190,298)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31.25</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">29.47</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Forfeited</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(20,506)</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(3,092)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.31</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.43</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">RSUs outstanding, end of period</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:50.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,275,421</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:50.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,131,831</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">33.13</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.61</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:12pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Reconciliations of the numerator and denominator of the basic and diluted per-share computations are comprised of the following:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:534pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00020_1_1"></a><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:88.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:88.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Ended March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:36.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:36.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net income applicable to common shareholders</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">75</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,302</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Weighted average number of common shares (000&apos;s):</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Issued and outstanding, beginning of period</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">66,160</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">69,673</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Weighted average number of shares issued (repurchased) during the period</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(294)</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Weighted average number of shares used in computing basic income per share</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">66,363</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">69,379</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Assumed exercise of stock options and RSUs, net of shares assumed repurchased</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">817</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">741</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:14.25pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Weighted average number of shares used in computing diluted income per share</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:1.5pt double #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">67,180</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:1.5pt double #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">70,120</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:12pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following assumptions were used to estimate the average fair value of the stock options:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00017_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="3" style="width:136.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="3" style="width:136.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Ended March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:61.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Average risk-free interest rate</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2.40%</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1.72%</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Expected option life (in years)</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4.71 - 5.83</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4.79 - 4.88</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Expected volatility</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">30%</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">30%</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Dividend yield</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">0%</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">0%</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:12pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">12. Capital Stock</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p><ol type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Stock-Based Compensation</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The compensation costs recorded in the condensed consolidated statements of operations for the Company&#8217;s stock-based compensation plans were $</font><font style="font-family:'Times New Roman'">5.3</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212;$</font><font style="font-family:'Times New Roman'">5.9</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the Company has reserved a total of </font><font style="font-family:'Times New Roman'">11,226,190</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; </font><font style="font-family:'Times New Roman'">12,012,572</font><font style="font-family:'Times New Roman'">) common shares for future issuance under the Company&#8217;s Stock Option Plan (&#8220;SOP&#8221;) and the IMAX Corporation Amended and Restated Long-Term Incentive Plan (&#8220;IMAX LTIP&#8221;). Of the common shares reserved for issuance, there are options in respect of </font><font style="font-family:'Times New Roman'">5,268,603</font><font style="font-family:'Times New Roman'"> common shares and restricted share units (&#8220;RSUs&#8221;) in respect of </font><font style="font-family:'Times New Roman'">1,275,421</font><font style="font-family:'Times New Roman'"> common shares outstanding at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">. At </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, options in respect of </font><font style="font-family:'Times New Roman'">3,945,034</font><font style="font-family:'Times New Roman'"> common shares were vested and exercisable.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company early adopted ASU 2016-09, related to stock-based compensation, in June 2016. ASU 2016-09 eliminates the requirement to estimate and apply a forfeiture rate to reduce stock compensation expense during the vesting period and, instead, account for forfeitures as they occur. ASU 2016-09 also requires the presentation of employee taxes as a financing activity on the condensed consolidated statement of cash flows. Where applicable, comparative figures have been restated as if the adoption of ASU 2016-09 occurred on January 1, 2016.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">Stock Option Plan</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company recorded an expense of $</font><font style="font-family:'Times New Roman'">1.3</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">2.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million) related to stock option grants issued to employees and directors in the IMAX LTIP and SOP plans. An income tax benefit is recorded in the condensed consolidated statements of operations of $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'"> million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">1.3</font><font style="font-family:'Times New Roman'"> million), for these costs.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The weighted average fair value of all stock options granted to employees and directors for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> at the grant date was $</font><font style="font-family:'Times New Roman'">9.08</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">per share (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">8.55</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">per share). </font><a name="DM_MAP_b9e8e0274b6340f1baf90c122438bf3c"><font style="font-family:'Times New Roman'">The following assumptions were used to estimate the average fair value of the stock options:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00017_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="3" style="width:136.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="3" style="width:136.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Ended March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:61.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Average risk-free interest rate</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2.40%</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1.72%</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Expected option life (in years)</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4.71 - 5.83</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4.79 - 4.88</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Expected volatility</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">30%</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">30%</font></p></td></tr><tr style="height:12.75pt"><td style="width:238.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Dividend yield</font></p></td><td style="width:147pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">0%</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:61.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">0%</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">Stock options to Non-Employees</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">There were no common share options issued to non-employees during the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> and </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, non-employee stock options outstanding amounted to </font><font style="font-family:'Times New Roman'">17,000</font><font style="font-family:'Times New Roman'"> stock options (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; </font><font style="font-family:'Times New Roman'">38,750</font><font style="font-family:'Times New Roman'">) with a weighted average exercise price of $</font><font style="font-family:'Times New Roman'">29.64</font><font style="font-family:'Times New Roman'"> per share (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">26.79</font><font style="font-family:'Times New Roman'"> per share</font><font style="font-family:'Times New Roman'">). </font><font style="font-family:'Times New Roman'">17,000</font><font style="font-family:'Times New Roman'"> stock options (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; </font><font style="font-family:'Times New Roman'">26,325</font><font style="font-family:'Times New Roman'">) were exercisable with an average weighted exercise price of $</font><font style="font-family:'Times New Roman'">29.64</font><font style="font-family:'Times New Roman'"> per share</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">26.99</font><font style="font-family:'Times New Roman'"> per share</font><font style="font-family:'Times New Roman'">) and the vested stock options have an aggregate intrinsic value of $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">(</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">For the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">, the Company recorded an expense of </font><font style="font-family:'Times New Roman'">less than $0.1</font><font style="font-family:'Times New Roman'"> million (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; recovery of </font><font style="font-family:'Times New Roman'">less than $0.1</font><font style="font-family:'Times New Roman'"> million) to selling, general and administrative expenses related to the non-employee stock options. There were no liabilities accrued for non-employee stock options as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; </font><font style="font-family:'Times New Roman'">less than $0.1</font><font style="font-family:'Times New Roman'"> million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; text-decoration:underline">China Long Term Incentive Plan (&#8220;China LTIP&#8221;)</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The China LTIP was adopted by IMAX China Holding, Inc. (&#8220;IMAX China&#8221;), a subsidiary of the Company, in October 2012.&#160; Each stock option (&#8220;China Option&#8221;), RSU or cash settled share-based payment (&#8220;CSSBP&#8221;) issued under the China LTIP represents an opportunity to participate economically in the future growth and value creation of IMAX China. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In connection with the IMAX China IPO and in accordance with the China LTIP, IMAX China adopted a post-IPO share option plan and a post-IPO restricted stock unit plan. Pursuant to these plans, </font><font style="font-family:'Times New Roman'">IMAX China issued additional China Options and China LTIP Restricted Share Units (&#8220;China RSUs&#8221;) </font><font style="font-family:'Times New Roman'">for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">During the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">, the Company recorded an expense related to the China Options, China RSUs and CSSBPs of $0.2 million, $0.1 million and $0.1 million (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $0.2 million, $nil and $0.1 million). The liability recognized with respect to the CSSBPs as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> was $0.4 million (December 31, 2016 &#8212; $0.3 million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">Stock Option Summary</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_9d9b7a169c944a5891adcdde58075c35"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following table summarizes certain information in respect of option activity under the SOP and IMAX LTIP for the three month periods ended </font><font style="font-family:'Times New Roman'">March 31</font><font style="font-family:'Times New Roman'">:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00018_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="3" style="width:103.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:3.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="4" style="width:105pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Weighted Average Exercise</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="3" style="width:103.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Number of Shares</font></p></td><td style="width:3.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="4" style="width:105pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Price Per Share</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td><td style="width:3.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Options outstanding, beginning of period</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,190,542</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,805,244</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28.35</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27.03</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Granted</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">679,030</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">323,925</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.16</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31.85</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Exercised</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(584,589)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(43,750)</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22.38</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">16.91</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Forfeited</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(16,380)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(2,042)</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31.69</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31.85</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Options outstanding, end of period</font></p></td><td style="width:51pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,268,603</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,083,377</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">29.49</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">27.42</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:14.25pt"><td style="width:296.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Options exercisable, end of period</font></p></td><td style="width:51pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,945,034</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:51pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,507,573</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28.68</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">26.52</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">No stock options were cancelled from its IMAX LTIP or SOP surrendered by Company employees during the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> and </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, options that are exercisable have an intrinsic value of $</font><font style="font-family:'Times New Roman'">21.3</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million and a weighted average remaining contractual life of </font><font style="font-family:'Times New Roman'">4.6</font><font style="font-family:'Times New Roman'"> years. The intrinsic value of options exercised in the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> was $</font><font style="font-family:'Times New Roman'">6.0</font><font style="font-family:'Times New Roman'"> million (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.6</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million). </font></p><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">Restricted Share Units</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">RSUs have been granted to employees, consultants and directors under the IMAX LTIP. Each RSU represents a contingent right to receive one common share and is the economic equivalent of one common share. The grant date fair value of each RSU is equal to the share price of the Company&#8217;s stock at the grant date. The Company recorded an expense of $</font><font style="font-family:'Times New Roman'">3.4</font><font style="font-family:'Times New Roman'"> million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">3.1</font><font style="font-family:'Times New Roman'"> million), related to RSU grants issued to employees and directors in the plan. The Company did not issue any RSU grants to certain advisors and strategic partners of the Company during the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> and </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">During the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">, in connection with the vesting of RSUs, the Company settled </font><font style="font-family:'Times New Roman'">201,793</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; </font><font style="font-family:'Times New Roman'">190,298</font><font style="font-family:'Times New Roman'">) common shares to IMAX LTIP participants, of which </font><font style="font-family:'Times New Roman'">7,127</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; </font><font style="font-family:'Times New Roman'">5,563</font><font style="font-family:'Times New Roman'">) common shares, net of shares withheld for tax withholdings of </font><font style="font-family:'Times New Roman'">4,582</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; </font><font style="font-family:'Times New Roman'">3,508</font><font style="font-family:'Times New Roman'">) were issued from treasury and </font><font style="font-family:'Times New Roman'">190,084</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; </font><font style="font-family:'Times New Roman'">181,227</font><font style="font-family:'Times New Roman'">) common shares were settled through the open market purchases by the IMAX LTIP trustee.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Total stock-based compensation expense related to non-vested RSUs not yet recognized at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and the weighted average period over which the awards are expected to be recognized is $</font><font style="font-family:'Times New Roman'">37.1</font><font style="font-family:'Times New Roman'"> million and </font><font style="font-family:'Times New Roman'">2.6</font><font style="font-family:'Times New Roman'"> years, respectively (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">32.0</font><font style="font-family:'Times New Roman'"> million and </font><font style="font-family:'Times New Roman'">2.7</font><font style="font-family:'Times New Roman'"> years, respectively). The Company&#8217;s actual tax benefits realized for the tax deductions related to the vesting of RSUs was $</font><font style="font-family:'Times New Roman'">1.9</font><font style="font-family:'Times New Roman'"> million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">1.9</font><font style="font-family:'Times New Roman'"> million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Historically, RSUs granted under the IMAX LTIP have vested between immediately and four</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">years from the grant date. In connection with the amendment and restatement of the IMAX LTIP at the Company&#8217;s annual and special meeting of shareholders on June 6, 2016, the IMAX LTIP plan was amended to impose a minimum one-year vesting period on future RSU grants, with a carve-out for 300,000 RSUs that may vest on a shorter schedule. During 2016, 39,726 RSUs with a vesting period of less than one year were issued from the carve-out of 300,000 RSUs under the amended IMAX LTIP plan. There were no RSUs issued during the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> from the remaining carve-out balance of 260,274 RSUs. </font><font style="font-family:'Times New Roman'">Vesting of the RSUs is subject to continued employment or service with the Company.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_1a367e90f6e5443f88713a5f0cee015f"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following table summarizes certain information in respect of RSU activity under the IMAX LTIP for the three months ended </font><font style="font-family:'Times New Roman'">March 31</font><font style="font-family:'Times New Roman'">:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:27pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00019_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="3" style="width:102pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Number of Awards</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="5" style="width:117pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Weighted Average Grant Date Fair Value Per Share</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:44.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">RSUs outstanding, beginning of period</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,124,180</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">973,637</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">33.01</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.27</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Granted</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">373,540</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">351,584</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.45</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31.85</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Vested and settled</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(201,793)</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(190,298)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31.25</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">29.47</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Forfeited</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(20,506)</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(3,092)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.31</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.43</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:285pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">RSUs outstanding, end of period</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:50.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,275,421</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:50.25pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,131,831</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">33.13</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:50.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">32.61</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">Issuer Purchases of Equity Securities</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">On June</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">16, 2014, the Company&#8217;s board of directors approved a new $150.0 million share repurchase program for shares of the Company&#8217;s common stock, which program was amended on April 20, 2016 to increase the aggregate purchase allowance to $200.0 million. Purchases under the program commenced during the third quarter of 2014, and the program expires on June</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">30, 2017.</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">The repurchases may be made either in the open market or through private transactions, subject to market conditions, applicable legal requirements and other relevant factors.</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">The Company has no obligation to repurchase shares and the share repurchase program may be suspended or discontinued by the Company at any time. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">During the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">, the Company did not repurchase any common shares. During the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2016</font><font style="font-family:'Times New Roman'">, the Company repurchased </font><font style="font-family:'Times New Roman'">1,446,418</font><font style="font-family:'Times New Roman'"> common shares at an average price of $</font><font style="font-family:'Times New Roman'">30.82</font><font style="font-family:'Times New Roman'"> per share. The retired shares were purchased for $</font><font style="font-family:'Times New Roman'">44.6</font><font style="font-family:'Times New Roman'"> million. The average carrying value of the stock retired was deducted from common stock and the remaining excess over the average carrying value of stock was charged to accumulated deficit. The Company has $46.3 million available under its approved repurchase program. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The total number of shares purchased during the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> does not include any shares purchased in the administration of employee share-based compensation plans (which amounted to 368,624 (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; 181,277) common shares, at an average price of $32.38 (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $32.28) per share). </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the IMAX LTIP trustee held 23,706 (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; 66,093) shares purchased for $0.8 million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $2.0 million) in the open market to be issued upon the settlement of RSUs and stock options. The shares held with the trustee are recorded at cost and are reported as a reduction against capital stock on the condensed consolidated balance sheet.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-style:italic">Canadian Securities Law Matters</font><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic"> </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has received an exemption decision issued by the Ontario Securities Commission, dated April 1, 2016, for relief from the formal issuer bid requirements under Canadian securities laws. The exemption decision permits the Company to repurchase up to 10% of its outstanding common shares in any twelve-month period through the facilities of the New York Stock Exchange (&#8220;NYSE&#8221;) under repurchase programs that the Company may implement from time to time. The Canadian securities laws regulate an issuer&#8217;s ability to make repurchases of its own securities. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company sought the exemption so that it can make repurchases under its repurchase programs in excess of the maximum allowable in reliance on the existing &#8220;other published markets&#8221; exemption from the formal issuer bid requirements available under Canadian securities laws. The &#8220;other published markets&#8221; exemption caps the Company&#8217;s ability to repurchase its securities through the facilities of the NYSE at 5% of the issuer&#8217;s outstanding securities during any 12-month period. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The conditions of the exemption decision are as follows: (i) any repurchases made in reliance on the exemption decision must be permitted under, and part of repurchase programs established and conducted in accordance with, U.S. securities laws and NYSE rules, (ii) the aggregate number of common shares acquired in reliance on the exemption decision by the Company and any person or company acting jointly or in concert with the Company within any 12 months does not exceed 10% of the outstanding common shares at the beginning of the 12-month period, (iii) the common shares are not listed and posted for trading on an exchange in Canada, (iv) the exemption decision applies only to the acquisition of common shares by the Company within 36 months of the date of the decision, and (v) prior to purchasing common shares in reliance on the exemption decision, the Company discloses the terms of the exemption decision and the conditions applicable thereto in a press release that is issued on SEDAR and includes such language as part of the news release required to be issued in accordance with the &#8220;other published markets exemption&#8221; in respect of any repurchase program that may be implemented by the Company. </font></p><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">&#xa0;</font></p><ol start="2" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Net Income Per Share</font></li></ol><p style="margin-top:0pt; margin-left:7.2pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><a name="DM_MAP_b8063172bc2d46d2a70593fe8e3fb2d9"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">&#xa0;</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Reconciliations of the numerator and denominator of the basic and diluted per-share computations are comprised of the following:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:534pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00020_1_1"></a><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:88.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:88.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Ended March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:36.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:36.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net income applicable to common shareholders</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">75</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,302</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Weighted average number of common shares (000&apos;s):</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Issued and outstanding, beginning of period</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">66,160</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">69,673</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Weighted average number of shares issued (repurchased) during the period</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">203</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(294)</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Weighted average number of shares used in computing basic income per share</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">66,363</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">69,379</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Assumed exercise of stock options and RSUs, net of shares assumed repurchased</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">817</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">741</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:14.25pt"><td style="width:336pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Weighted average number of shares used in computing diluted income per share</font></p></td><td style="width:91.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:1.5pt double #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">67,180</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:3pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:1.5pt double #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">70,120</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The calculation of diluted earnings per share excludes </font><font style="font-family:'Times New Roman'">1,785,013</font><font style="font-family:'Times New Roman'"> shares that are issuable upon the vesting of </font><font style="font-family:'Times New Roman'">171,673</font><font style="font-family:'Times New Roman'"> RSUs and the exercise of </font><font style="font-family:'Times New Roman'">1,613,340</font><font style="font-family:'Times New Roman'"> stock options for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">, as the impact would be antidilutive. The calculation of diluted earnings per share excludes </font><font style="font-family:'Times New Roman'">3,245,033</font><font style="font-family:'Times New Roman'"> shares that are issuable upon the vesting of </font><font style="font-family:'Times New Roman'">615,028</font><font style="font-family:'Times New Roman'"> RSUs and the exercise of </font><font style="font-family:'Times New Roman'">2,630,005</font><font style="font-family:'Times New Roman'"> stock options for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2016</font><font style="font-family:'Times New Roman'">, as the impact would be antidilutive.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">As part of the adoption of ASU 2016-09, the excess tax benefit is no longer included in the calculation of diluted shares under the treasury stock method. </font></p><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><br style="page-break-before:always; clear:both" /></p><ol start="2" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Shareholder&#8217;s Equity Attributable to Common Shareholders</font></li></ol><p style="margin-top:0pt; margin-left:7.2pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><a name="DM_MAP_74197fbd08774c99a875f4cdcc3e6266"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">&#xa0;</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following summarizes the movement of Shareholders&#8217; Equity attributable to common shareholders for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00021_1_1"></a><font style="font-family:'Times New Roman'">Balance as at December 31, 2016</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">562,012</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net income attributable to common shareholders</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">75</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Retrospective adjustment related to intra-entity transfers (notes 2 and 11)</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(8,314)</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Adjustments to capital stock:</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Cash received from the issuance of common shares</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">13,082</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Issuance of common shares for vested RSUs</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">273</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Fair value of stock options exercised at the grant date</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,270</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Share held in treasury</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,160</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Adjustments to other equity:</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Employee stock options granted</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,596</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Non-employee stock options granted and vested</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">17</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Fair value of stock options exercised at the grant date</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(3,270)</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">RSUs granted</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,554</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">RSUs vested</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(6,506)</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Stock exercised from treasury shares</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(7,025)</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Adjustments to accumulated other comprehensive loss:</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Unrealized net gain from cash flow hedging instruments</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">313</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Realization of cash flow hedging net loss upon settlement</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">285</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign currency translation adjustments</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">312</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Tax effect of movement in other comprehensive income</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(157)</font></p></td></tr><tr style="height:13.5pt"><td style="width:369.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Balance as at March 31, 2017</font></p></td><td style="width:83.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:67.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">560,677</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><br style="page-break-before:always; clear:both" /></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00022_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:115.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:115.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31, </font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">Revenue</font><font style="font-family:'Times New Roman'; font-size:6.67pt; font-weight:bold; vertical-align:super">(1)</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Network business</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX DMR</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">23,408</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">29,805</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Joint revenue sharing arrangements &#8211; contingent rent</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">15,233</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,315</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX systems &#8211; contingent rent</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">688</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,187</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">39,329</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">52,307</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:3pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater business</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX systems</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">9,527</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">20,674</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Joint revenue sharing arrangements &#8211; fixed fees</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">470</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,070</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater system maintenance</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,045</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">9,826</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other theater</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,165</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,487</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">23,207</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">35,057</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">New business</font></p></td><td style="width:2.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,280</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:5.25pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other </font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film post-production</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,072</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,407</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film distribution</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">512</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">363</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,257</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,994</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,841</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,764</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:8.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">68,657</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:8.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">92,128</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:3pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">Gross Margin</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Network business</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX DMR</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">17,467</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,823</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Joint revenue sharing arrangements &#8211; contingent rent</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,250</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">17,487</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX systems &#8211; contingent rent</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">688</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,187</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28,405</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">41,497</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:3.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater business</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX systems</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,741</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">6,648</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Joint revenue sharing arrangements &#8211; fixed fees</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">88</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">504</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater system maintenance</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,249</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,439</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other theater</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">430</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(32)</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,508</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,559</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">New business</font></p></td><td style="width:2.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(337)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(225)</font></p></td></tr><tr style="height:3pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other </font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film post-production</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,101</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,249</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film distribution</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(3,764)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(679)</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(142)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(225)</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(2,805)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">345</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:8.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">35,771</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:8.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">52,176</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00023_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:115.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:115.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">Revenue</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">United States</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">25,198</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">35,544</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Canada</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,282</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,077</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Greater China</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">18,590</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">24,939</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Asia (excluding Greater China)</font></p></td><td style="width:132pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,429</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,559</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Western Europe</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,813</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,486</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Russia &amp; the CIS</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,183</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,692</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Latin America</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,654</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,527</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Rest of the World</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,508</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,304</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">68,657</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">92,128</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">13.&#160; Segmented Information</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Management, including the Company&#8217;s Chief Executive Officer (&#8220;CEO&#8221;) who is the Company&#8217;s Chief Operating Decision Maker (as defined in the Segment Reporting Topic of the FASB ASC), assesses segment performance based on segment revenues, gross margins and film performance. Selling, general and administrative expenses, research and development costs, amortization of intangibles, receivables provisions (recoveries), write-downs net of recoveries, interest income, interest expense and tax (provision) recovery are not allocated to the segments.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In the first quarter of 2017, modifications have been made to the CEO&#8217;s reporting package to move away from the Company&#8217;s historical two primary groups </font><font style="font-family:'Times New Roman'">&#8211; IMAX Theater Systems and Film &#8211; and align with the way in which the CODM manages the business. The new structure is expected to assist users of the financial statements with an enhanced understanding of how management views the business, and the drivers behind the Company&#8217;s performance. C</font><font style="font-family:'Times New Roman'">ertain of the prior period&#8217;s figures have been reclassified to conform to the current period&#8217;s presentation.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has identified new business as an additional reportable segment in the first quarter of 2017. The Company now has the following eight reportable segments: IMAX systems; IMAX DMR; joint revenue sharing arrangements; theater system maintenance; film distribution; film post-production; new business; and other. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s reportable segments are now under four primary groups identified by nature of product sold or service provided: </font><font style="font-family:'Times New Roman'">(1) Network Business, representing variable revenue generated by box-office results and which includes the reportable segment of IMAX DMR and contingent rent from the joint revenue sharing arrangements and IMAX systems segments; (2) Theater Business, representing revenue generated by the sale and installation of theater systems and maintenance services, primarily related to the IMAX Systems and Theater System Maintenance reportable segments, and also includes fixed hybrid revenues and upfront installation costs from the joint revenue sharing arrangements segment and after-market sales of projection system parts and 3D glasses from the other segment; (3) New Business, which includes content licensing and distribution fees associated with the Company&#8217;s original content investments, virtual reality initiatives, IMAX Home Entertainment, and other business initiatives that are in the development and/or start-up phase, and (4) Other; which includes</font><font style="font-family:'Times New Roman'"> the film post-production and distribution segments and certain IMAX theaters that the Company owns and operates, camera rentals and other miscellaneous items from the other segment. The Company is presenting information at a disaggregated level to provide more relevant information to readers, as permitted by the standard. The accounting policies of the segments are the same as those described in note 2 to the audited consolidated financial statements included in the Company&#8217;s </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> Form 10-K. In addition, refer to Item 2 of the Company&#8217;s Form 10-Q for additional information regarding the four primary groups mentioned above.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Transactions between the IMAX DMR segment and the film post-production segment are valued at exchange value. Inter-segment profits are eliminated upon consolidation, as well as for the disclosures below.</font></p><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><a name="DM_MAP_94ea5bd4c0ce489b98a62d429d7c3f14"><br style="page-break-before:always; clear:both" /></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00022_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:115.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:115.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31, </font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">Revenue</font><font style="font-family:'Times New Roman'; font-size:6.67pt; font-weight:bold; vertical-align:super">(1)</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Network business</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX DMR</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">23,408</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">29,805</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Joint revenue sharing arrangements &#8211; contingent rent</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">15,233</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,315</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX systems &#8211; contingent rent</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">688</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,187</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">39,329</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">52,307</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:3pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater business</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX systems</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">9,527</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">20,674</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Joint revenue sharing arrangements &#8211; fixed fees</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">470</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,070</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater system maintenance</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,045</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">9,826</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other theater</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,165</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,487</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">23,207</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">35,057</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">New business</font></p></td><td style="width:2.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,280</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:5.25pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other </font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film post-production</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,072</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,407</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film distribution</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">512</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">363</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,257</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,994</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,841</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,764</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:8.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">68,657</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:8.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">92,128</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:3pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">Gross Margin</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Network business</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX DMR</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">17,467</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:8.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,823</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Joint revenue sharing arrangements &#8211; contingent rent</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,250</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">17,487</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX systems &#8211; contingent rent</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">688</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,187</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28,405</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">41,497</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:3.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater business</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX systems</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,741</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">6,648</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Joint revenue sharing arrangements &#8211; fixed fees</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">88</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">504</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Theater system maintenance</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,249</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,439</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other theater</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">430</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(32)</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,508</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:20pt; margin-bottom:8pt; text-indent:0.75pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,559</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">New business</font></p></td><td style="width:2.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(337)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(225)</font></p></td></tr><tr style="height:3pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other </font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film post-production</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,101</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,249</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Film distribution</font><font style="font-family:'Times New Roman'; font-size:6.67pt; vertical-align:super">(2)</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(3,764)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(679)</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(142)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(225)</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(2,805)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">345</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:2.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:41.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:8.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">35,771</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:8.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:47.25pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">52,176</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><br style="page-break-before:always; clear:both" /></p><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">___________</font></p><table cellspacing="0" cellpadding="0" style="border-collapse:collapse"><tr style="height:24.75pt"><td style="width:21.6pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">(1)</font></p></td><td style="width:518.4pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s largest customer represented </font><font style="font-family:'Times New Roman'">17.2</font><font style="font-family:'Times New Roman'">% of total revenues for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212;</font><font style="font-family:'Times New Roman'">16.0</font><font style="font-family:'Times New Roman'">%).</font></p></td></tr><tr style="height:74.25pt"><td style="width:21.6pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">(2)</font></p></td><td style="width:518.4pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">IMAX DMR segment margins include marketing costs of $</font><font style="font-family:'Times New Roman'">2.6</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">(</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; $</font><font style="font-family:'Times New Roman'">2.3</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million). Joint revenue sharing arrangements segment margins include advertising, marketing and commission costs of $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million). IMAX systems segment margins include marketing and commission costs of $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; $</font><font style="font-family:'Times New Roman'">0.5</font><font style="font-family:'Times New Roman'"> million). Film distribution segment margins include a marketing recovery of $</font><font style="font-family:'Times New Roman'">0.2</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; expense of $</font><font style="font-family:'Times New Roman'">0.7</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million).</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:8pt; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">Geographic Information </font></p><p style="margin-top:0pt; margin-bottom:8pt; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Revenue by geographic area is based on the location of the customer. Revenue related to IMAX DMR is presented based upon the geographic location of the theaters that exhibit the re-mastered films. IMAX DMR revenue is generated through contractual relationships with studios and other third parties and these may not be in the same geographical location as the theater.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_98ad43c73dc043c7a0e8231f43bce605"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00023_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:115.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:115.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">Revenue</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">United States</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">25,198</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">35,544</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Canada</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,282</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,077</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Greater China</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">18,590</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">24,939</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Asia (excluding Greater China)</font></p></td><td style="width:132pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,429</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,559</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Western Europe</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">5,813</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">11,486</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Russia &amp; the CIS</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,183</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,692</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Latin America</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,654</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,527</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Rest of the World</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,508</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,304</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:280.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:126pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">68,657</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">92,128</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">No single country in the Rest of the World, Western Europe, Latin America and Asia (excluding Greater China) classifications comprises more than 10% of the total revenue.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00024_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:54pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:54pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:54pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:54pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Projected benefit obligation:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:46.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:46.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Obligation, beginning of period</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,580</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,478</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Interest cost</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">107</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">261</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Actuarial gain</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(159)</font></p></td></tr><tr style="height:13.5pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Obligation, end of period and unfunded status</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,687</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,580</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00025_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:127.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:117pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:127.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:117pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:127.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Interest cost</font></p></td><td style="width:127.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">107</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">65</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Pension expense</font></p></td><td style="width:127.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">107</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">65</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540.75pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00026_1_1"></a><font style="font-family:'Times New Roman'">2017 (nine months remaining)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2018</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2019</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2020</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,115</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2021</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Thereafter</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,115</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540.75pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00027_1_1"></a><font style="font-family:'Times New Roman'">2017 (nine months remaining)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2018</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">24</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2019</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">26</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2020</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">33</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2021</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">36</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Thereafter</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">514</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">654</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540.75pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00028_1_1"></a><font style="font-family:'Times New Roman'">2017 (nine months remaining)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">92</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2018</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">99</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2019</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">105</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2020</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">108</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2021</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">110</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Thereafter</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,244</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,758</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:12pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">14.&#160; Employee&apos;s Pension and Postretirement Benefits</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Defined Benefit Plan</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has an unfunded U.S.</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">defined benefit pension plan (the &#8220;SERP&#8221;) covering Richard L. Gelfond, CEO of the Company.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following table provides disclosure of the pension obligation for the SERP:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_86a7e2e30a6844c398f3e2e7a8fb7bbf"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00024_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:54pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:54pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:54pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:54pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Projected benefit obligation:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:46.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:46.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Obligation, beginning of period</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,580</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,478</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Interest cost</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">107</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">261</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Actuarial gain</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(159)</font></p></td></tr><tr style="height:13.5pt"><td style="width:403.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; text-indent:0.4pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Obligation, end of period and unfunded status</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,687</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:52.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">19,580</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following table provides disclosure of pension expense for the SERP:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_dcb5839050254b3f9429c2d063df1f45"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00025_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:127.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:117pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:127.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:117pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:127.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:50.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Interest cost</font></p></td><td style="width:127.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">107</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">65</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Pension expense</font></p></td><td style="width:127.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">107</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">65</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">No contributions are expected to be made for the SERP during the remainder of </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">. The Company expects interest costs of $</font><font style="font-family:'Times New Roman'">0.3</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million to be recognized as a component of net periodic benefit cost during the remainder of </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The accumulated benefit obligation for the SERP was $</font><font style="font-family:'Times New Roman'">19.7</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; $</font><font style="font-family:'Times New Roman'">19.6</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following benefit payments are expected to be made as per the current SERP assumptions and the terms of the SERP in each of the next 5 years, and in the aggregate:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_aa05c1d4aac6435caac4ffaed17abecf"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540.75pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00026_1_1"></a><font style="font-family:'Times New Roman'">2017 (nine months remaining)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2018</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2019</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2020</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,115</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2021</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Thereafter</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,115</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The SERP assumptions are that Mr. Gelfond will receive a lump sum payment six months after retirement at the end of the current term of his employment agreement (December 31, 2019), although Mr. Gelfond has not informed the Company that he intends to retire at that time.</font></p><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="2" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Defined Contribution Pension Plan</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company also maintains defined contribution plans for its employees, including its executive officers. The Company makes contributions to these plans on behalf of employees in an amount up to 5% of their base salary subject to certain prescribed maximums. During the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">, the Company contributed and expensed an aggregate of </font><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">0.3</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million </font><font style="font-family:'Times New Roman'">(</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; </font><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million</font><font style="font-family:'Times New Roman'">) to its Canadian defined contribution plan and an aggregate of </font><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">0.2</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million </font><font style="font-family:'Times New Roman'">(</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'"> &#8212; </font><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">0.2</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million</font><font style="font-family:'Times New Roman'">) to its defined contribution employee plan under Section</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">401(k) of the U.S.</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">Internal Revenue Code.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><br style="page-break-before:always; clear:both" /></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In September 2016, the Company entered into a new employment agreement with Greg Foster, CEO of IMAX Entertainment and</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Senior Executive Vice President of the Company, which provides for an employment term from July 2, 2016 through July 2, 2019. Under the agreement, the Company agreed to create a deferred compensation plan (the &#8220;Retirement Plan&#8221;) covering Mr. Foster, and to make a total contribution of $3.2 million over the three-year employment term. The Retirement Plan is subject to a vesting schedule based on continued employment with the Company, such that 25% will vest July 2019; 50% will vest July 2022; 75% will vest July 2025; and Mr. Foster will be 100% vested in July 2027. As at March 31, 2017, the Company had an unfunded benefit obligation recorded of $0.8 million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $0.5 million). The Company has expensed $0.3 million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">(</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $nil). </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold; font-style:italic">&#xa0;</font></p><ol start="3" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.07pt; text-align:justify; page-break-after:avoid; padding-left:2.73pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Postretirement Benefits - Executives</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has an unfunded postretirement plan for Mr. Gelfond and Bradley J. Wechsler, Chairman of the Company&#8217;s Board of Directors. The plan provides that the Company will maintain health benefits for Messrs. Gelfond and Wechsler until they become eligible for Medicare and, thereafter, the Company will provide Medicare supplement coverage as selected by Messrs. Gelfond and Wechsler. The postretirement benefits obligation as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> is $</font><font style="font-family:'Times New Roman'">0.7</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.6</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million). The Company has expensed less than $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">(</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; less than $0.1</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million). </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following benefit payments are expected to be made as per the current plan assumptions in each of the next 5 years:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_8e37fd5997044fe39bb375472fab8e58"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540.75pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00027_1_1"></a><font style="font-family:'Times New Roman'">2017 (nine months remaining)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2018</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">24</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2019</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">26</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2020</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">33</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2021</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">36</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Thereafter</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">514</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">654</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="4" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Postretirement Benefits &#8211; Canadian Employees </font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has an unfunded postretirement plan for its Canadian employees upon meeting specific eligibility requirements. The Company will provide eligible participants, upon retirement, with health and welfare benefits. The postretirement benefits obligation as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> is $</font><font style="font-family:'Times New Roman'">1.8</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">1.7</font><font style="font-family:'Times New Roman'"> million). The Company has expensed less than $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; less than $</font><font style="font-family:'Times New Roman'">0.1</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million).</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following benefit payments are expected to be made as per the current plan assumptions in each of the next 5 years:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_0554f56df6b44ebe8a465f8c81dcbe29"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540.75pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00028_1_1"></a><font style="font-family:'Times New Roman'">2017 (nine months remaining)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">92</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2018</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">99</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2019</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">105</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2020</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">108</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2021</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">110</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Thereafter</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,244</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:478.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,758</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The carrying values of the Company&#8217;s cash and cash equivalents, accounts receivable, accounts payable and accrued liabilities due within one year approximate fair values due to the short-term maturity of these instruments. The Company&#8217;s other financial instruments are comprised of the following:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00029_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="4" style="width:109.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="4" style="width:109.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Carrying</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Estimated</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Carrying</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Estimated</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Amount</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Fair Value</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Amount</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Fair Value</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Cash and cash equivalents</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">190,481</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">190,481</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">204,759</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">204,759</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivable</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">112,682</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,792</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,041</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">115,014</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in sales-type leases </font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,808</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,163</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,084</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,372</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Convertible loan receivable</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Available-for-sale investment</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,010</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,007</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts &#8212; designated forwards</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">302</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">302</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(296)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(296)</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom; background-color:#ffffff"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Borrowings under the Playa Vista Loan</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(27,167)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(27,167)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(27,667)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(27,667)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following table discloses the recorded investment in financing receivables by credit quality indicator:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00030_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="8" style="width:181.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="8" style="width:181.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Minimum</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financed</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Minimum</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financed</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Lease</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Sales</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Lease</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Sales</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Payments</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Total</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Payments</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Total</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">In good standing</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,465</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">110,249</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">117,714</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,741</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">111,568</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">119,309</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Credit Watch</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,683</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,683</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,514</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,514</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Pre-approved transactions</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">633</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">633</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">842</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">842</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Transactions suspended</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,015</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">611</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,626</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,015</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">611</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,626</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,480</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,176</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">121,656</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,756</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,535</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">123,291</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s aged financing receivables are as follows:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00032_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="23" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accrued</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Billed</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unbilled</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Total</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">30-89</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financing</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net of</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Current</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">90+ Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowances</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowances</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">41</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">94</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">763</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">898</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,582</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,480</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,808</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,884</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,379</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,879</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,142</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">106,035</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,176</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">112,682</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,925</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,473</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,642</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,040</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,617</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">121,656</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,166)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">120,490</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="23" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accrued</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Billed</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unbilled</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Total</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">30-89</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financing</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net of</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Current</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">90+ Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowances</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowances</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">159</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">781</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">968</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,788</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,756</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,084</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,393</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,724</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,368</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">6,485</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">108,050</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,535</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,041</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,421</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,883</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,149</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,453</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">115,838</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">123,291</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,166)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">122,125</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s recorded investment in past due financing receivables for which the Company continues to accrue finance income is as follows:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:550.5pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00033_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="20" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accrued</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Billed</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unbilled</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financing</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Past Due</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Current</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">30-89 Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">90+ Days</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and Accruing</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">38</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">61</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">293</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">392</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,237</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,629</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">146</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">968</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,280</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,394</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">25,876</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">29,270</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">184</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,029</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,573</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,786</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28,113</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31,899</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="20" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accrued</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Billed</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unbilled</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financing</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Past Due</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Current</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">30-89 Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">90+ Days</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and Accruing</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">54</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">244</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">298</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,646</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,944</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">284</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">634</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,854</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,772</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">20,147</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,919</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">284</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">688</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,098</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,070</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,793</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">24,863</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following table discloses information regarding the Company&#8217;s impaired financing receivables:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:539.25pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00034_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="14" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">For the Three Months Ended March 31, 2017</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Average</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Interest</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unpaid</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Income</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Principal</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recognized</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Recorded investment for which there is a related allowance:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">525</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">75</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">525</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Recorded investment for which there is no related allowance:</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Total recorded investment in impaired loans:</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">525</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">75</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">525</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:36pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:34.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:36pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:36pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:36pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="14" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">For the Three Months Ended March 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Average</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Interest</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unpaid</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Income</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Principal</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recognized</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Recorded investment for which there is a related allowance:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">748</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">414</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(643)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">748</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Recorded investment for which there is no related allowance:</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Total recorded investment in impaired loans:</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">748</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">414</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(643)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">748</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s activity in the allowance for credit losses for the period and the Company&#8217;s recorded investment in financing receivables are as follows:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00035_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended March 31, 2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:Arial; font-weight:bold">&#xa0;</font></p></td><td colspan="5" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended March 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Investment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Financed</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Investment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Financed</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">in Leases</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Sales Receivables</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">in Leases</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Sales Receivables</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Allowance for credit losses:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; 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page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Beginning balance</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">672</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">494</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">672</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">568</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Charge-offs</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; 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margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Recoveries</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; 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vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Financing receivables:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Ending balance: individually evaluated for impairment</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,480</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,176</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:1.5pt double #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,577</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">110,387</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Notional value of foreign exchange contracts:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00036_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Derivatives designated as hedging instruments:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts &#8212; Forwards</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">39,802</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">37,825</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Fair value of derivatives in foreign exchange contracts:</font></p><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00037_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold; text-decoration:underline">Balance Sheet Location</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Derivatives designated as hedging instruments:</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts &#8212; Forwards</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other assets</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">604</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">480</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accrued and other liabilities</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(302)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(776)</font></p></td></tr><tr style="height:13.5pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">302</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(296)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Cash and cash equivalents are comprised of cash and interest-bearing investments with original maturity dates of 90 days or less. Cash and cash equivalents are recorded at cost, which approximates fair value (Level</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">1 input in accordance with the Fair Value Measurements Topic of the FASB</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, respectively.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The estimated fair values of the net financed sales receivable and net investment in sales-type leases are estimated based on discounting future cash flows at currently available interest rates with comparable terms (Level</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">2 input in accordance with the Fair Value Measurements Topic of the FASB</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, respectively.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The estimated fair value of the Company&#8217;s convertible loan receivable is based on discounting future cash flows at currently available interest rates with comparable terms (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, respectively. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The fair value of the Company&#8217;s available-for-sale investment is determined using quoted prices in active markets (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, respectively. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The fair value of foreign currency derivatives is determined using quoted prices in active markets (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, respectively. These identical instruments are traded on a closed exchange.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The carrying value of borrowings under the Playa Vista Loan approximates fair value as the interest rates offered under the Playa Vista Loan are close to </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> market rates for the Company for debt of the same remaining maturities (Level</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">There were no significant transfers between Level 1 and Level 2 during the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> or </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">. When a determination is made to classify an asset or liability within Level 3, the determination is based upon the significance of the unobservable inputs to the overall fair value measurement. </font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company classifies its customers into four categories to indicate the credit quality worthiness of its financing receivables for internal purposes only:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Good standing &#8212; Theater continues to be in good standing with the Company as the client&#8217;s payments and reporting are up-to-date.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Credit Watch &#8212; Theater operator has begun to demonstrate a delay in payments, and has been placed on the Company&apos;s credit watch list for continued monitoring, but active communication continues with the Company. Depending on the size of outstanding balance, length of time in arrears and other factors, transactions may need to be approved by management. These financing receivables are considered to be in better condition than those receivables related to theaters in the &quot;Pre-approved transactions&quot; category, but not in as good of condition as those receivables in &quot;Good standing.&quot;&#160; </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Pre-approved transactions only &#8212; Theater operator is demonstrating a delay in payments with little or no communication with the Company. All service or shipments to the theater must be reviewed and approved by management. These financing receivables are considered to be in better condition than those receivables related to theaters in the &quot;All transactions suspended&quot; category, but not in as good of condition as those receivables in &quot;Credit Watch.&quot; Depending on the individual facts and circumstances of each customer, finance income recognition may be suspended if management believes the receivable to be impaired.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">All transactions suspended &#8212; Theater is severely delinquent, non-responsive or not negotiating in good faith with the Company. Once a theater is classified as &#8220;All transactions suspended&#8221; the theater is placed on nonaccrual status and all revenue recognitions related to the theater are stopped.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s investment in financing receivables on nonaccrual status is as follows:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00031_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td></tr><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td></tr><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,015</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,015</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td></tr><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">611</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">611</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td></tr><tr style="height:13.5pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,626</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,166)</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,626</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,166)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company is exposed to market risk from changes in foreign currency rates. A majority portion of the Company&#8217;s revenues is denominated in U.S. dollars while a substantial portion of its costs and expenses is denominated in Canadian dollars. A portion of the net U.S. dollar cash flows of the Company is periodically converted to Canadian dollars to fund Canadian dollar expenses through the spot market. In China and Japan the Company has ongoing operating expenses related to its operations in Chinese Renminbi and Japanese yen, respectively. Net cash flows are converted to and from U.S. dollars through the spot market. The Company also has cash receipts under leases denominated in Chinese Renminbi, Japanese yen, Canadian dollars and Euros which are converted to U.S. dollars through the spot market. In addition, because IMAX films generate box-office in 75 different countries, unfavourable exchange rates between applicable local currencies, and the U.S. dollar affect the Company&#8217;s reported gross box-office and revenues, further impacting the Company&#8217;s results of operations. The Company&#8217;s policy is to not use any financial instruments for trading or other speculative purposes. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company entered into a series of foreign currency forward contracts to manage the Company&#8217;s risks associated with the volatility of foreign currencies. Certain of these foreign currency forward contracts met the criteria required for hedge accounting under the Derivatives and Hedging Topic of the FASB</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">ASC at inception, and continue to meet hedge effectiveness tests at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (the &#8220;Foreign Currency Hedges&#8221;), with settlement dates throughout 2017 and </font><font style="font-family:'Times New Roman'">2018</font><font style="font-family:'Times New Roman'">. Foreign currency derivatives are recognized and measured in the balance sheet at fair value. Changes in the fair value (gains or losses) are recognized in the condensed consolidated statements of operations except for derivatives designated and qualifying as foreign currency cash flow hedging instruments. For foreign currency cash flow hedging instruments, the effective portion of the gain or loss in a hedge of a forecasted transaction is reported in other comprehensive income and reclassified to the condensed consolidated statements of operations when the forecasted transaction occurs. Any ineffective portion is recognized immediately in the condensed consolidated statements of operations. The Company currently does not hold any derivatives which are not designated as hedging instruments</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company considers financing receivables to be impaired when it believes it to be probable that it will not recover the full amount of principal or interest owing under the arrangement. The Company uses its knowledge of the industry and economic trends, as well as its prior experiences to determine the amount recoverable for impaired financing receivables. </font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company considers financing receivables with aging between 60-89 days as indications of theaters with potential collection concerns. The Company will begin to focus its review on these financing receivables and increase its discussions internally and with the theater regarding payment status. Once a theater&#8217;s aging exceeds 90 days, the Company&#8217;s policy is to review and assess collectibility on the theater&#8217;s past due accounts. Over 90 days past due is used by the Company as an indicator of potential impairment as invoices up to 90 days outstanding could be considered reasonable due to the time required for dispute resolution or for the provision of further information or supporting documentation to the customer.</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00038_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="5" style="width:133.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts &#8212; Forwards</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Derivative Gain </font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Recognized in OCI </font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(Effective Portion)</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">313</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,207</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Location of Derivative Loss</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Reclassified from AOCI</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="5" style="width:133.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">into Income (Effective Portion)</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts &#8212; Forwards</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Selling, general and </font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">administrative expenses</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(285)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,277)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00039_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:133.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts - Forwards</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Derivative Loss </font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Recognized In and Out of </font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">OCI (Effective Portion)</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(47)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">15.&#160; Financial Instruments</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Financial Instruments</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company maintains cash with various major financial institutions. The Company&#8217;s cash is invested with highly rated financial institutions.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s accounts receivables and financing receivables are subject to credit risk. The Company&#8217;s accounts receivable and financing receivables are concentrated with the theater exhibition industry and film entertainment industry. To minimize the Company&#8217;s credit risk, the Company retains title to underlying theater systems leased, performs initial and ongoing credit evaluations of its customers and makes ongoing provisions for its estimate of potentially uncollectible amounts. The Company believes it has adequately provided for related exposures surrounding receivables and contractual commitments. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="2" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:27.19pt; text-align:justify; page-break-after:avoid; padding-left:1.61pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold"><font style="font-style:italic">Fair Value Measurements</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_90a14939ed8a44a19b51ea08ab1e7799"><font style="font-family:'Times New Roman'">The carrying values of the Company&#8217;s cash and cash equivalents, accounts receivable, accounts payable and accrued liabilities due within one year approximate fair values due to the short-term maturity of these instruments. The Company&#8217;s other financial instruments are comprised of the following:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00029_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="4" style="width:109.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="4" style="width:109.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Carrying</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Estimated</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Carrying</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Estimated</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Amount</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Fair Value</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Amount</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42.75pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Fair Value</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Cash and cash equivalents</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">190,481</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">190,481</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">204,759</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">204,759</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivable</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">112,682</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,792</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,041</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">115,014</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in sales-type leases </font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,808</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,163</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,084</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,372</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Convertible loan receivable</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Available-for-sale investment</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,010</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,000</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,007</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts &#8212; designated forwards</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">302</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">302</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(296)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(296)</font></p></td></tr><tr style="height:12.75pt"><td style="width:277.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom; background-color:#ffffff"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Borrowings under the Playa Vista Loan</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(27,167)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(27,167)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(27,667)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(27,667)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_cc049d20590c4e75a587cc40c84f1006"><font style="font-family:'Times New Roman'">Cash and cash equivalents are comprised of cash and interest-bearing investments with original maturity dates of 90 days or less. Cash and cash equivalents are recorded at cost, which approximates fair value (Level</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">1 input in accordance with the Fair Value Measurements Topic of the FASB</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, respectively.</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The estimated fair values of the net financed sales receivable and net investment in sales-type leases are estimated based on discounting future cash flows at currently available interest rates with comparable terms (Level</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">2 input in accordance with the Fair Value Measurements Topic of the FASB</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, respectively.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The estimated fair value of the Company&#8217;s convertible loan receivable is based on discounting future cash flows at currently available interest rates with comparable terms (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, respectively. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The fair value of the Company&#8217;s available-for-sale investment is determined using quoted prices in active markets (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, respectively. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The fair value of foreign currency derivatives is determined using quoted prices in active markets (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> and December</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">, respectively. These identical instruments are traded on a closed exchange.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The carrying value of borrowings under the Playa Vista Loan approximates fair value as the interest rates offered under the Playa Vista Loan are close to </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> market rates for the Company for debt of the same remaining maturities (Level</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_27ddca544b614177963450b40aa4733f"><font style="font-family:'Times New Roman'">There were no significant transfers between Level 1 and Level 2 during the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'"> or </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">. When a determination is made to classify an asset or liability within Level 3, the determination is based upon the significance of the unobservable inputs to the overall fair value measurement. </font></a><font style="font-family:'Times New Roman'">There were no transfers in or out of the Company&#8217;s level 3 assets during the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="3" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.07pt; text-align:justify; page-break-after:avoid; padding-left:2.73pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Financing Receivables</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s net investment in leases and its net financed sale receivables are subject to the disclosure requirements of ASC</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">310 &#8220;Receivables&#8221;. Due to differing risk profiles of its net investment in leases and its net financed sales receivables, the Company views its net investment in leases and its net financed sale receivables as separate classes of financing receivables. The Company does not aggregate financing receivables to assess impairment.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company monitors the credit quality of each customer on a frequent basis through collections and aging analyses. The Company also holds meetings monthly in order to identify credit concerns and whether a change in credit quality classification is required for the customer. A customer may improve in their credit quality classification once a substantial payment is made on overdue balances or the customer has agreed to a payment plan with the Company and payments have commenced in accordance to the payment plan. The change in credit quality indicator is dependent upon management approval.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_32c7b37238b3460fbb3cf24b919164b7"><font style="font-family:'Times New Roman'">The Company classifies its customers into four categories to indicate the credit quality worthiness of its financing receivables for internal purposes only:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Good standing &#8212; Theater continues to be in good standing with the Company as the client&#8217;s payments and reporting are up-to-date.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Credit Watch &#8212; Theater operator has begun to demonstrate a delay in payments, and has been placed on the Company&apos;s credit watch list for continued monitoring, but active communication continues with the Company. Depending on the size of outstanding balance, length of time in arrears and other factors, transactions may need to be approved by management. These financing receivables are considered to be in better condition than those receivables related to theaters in the &quot;Pre-approved transactions&quot; category, but not in as good of condition as those receivables in &quot;Good standing.&quot;&#160; </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Pre-approved transactions only &#8212; Theater operator is demonstrating a delay in payments with little or no communication with the Company. All service or shipments to the theater must be reviewed and approved by management. These financing receivables are considered to be in better condition than those receivables related to theaters in the &quot;All transactions suspended&quot; category, but not in as good of condition as those receivables in &quot;Credit Watch.&quot; Depending on the individual facts and circumstances of each customer, finance income recognition may be suspended if management believes the receivable to be impaired.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">All transactions suspended &#8212; Theater is severely delinquent, non-responsive or not negotiating in good faith with the Company. Once a theater is classified as &#8220;All transactions suspended&#8221; the theater is placed on nonaccrual status and all revenue recognitions related to the theater are stopped.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><br style="page-break-before:always; clear:both" /></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_f6a9d10321134a11b37b4bc5dfda1d46"><font style="font-family:'Times New Roman'">The following table discloses the recorded investment in financing receivables by credit quality indicator:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00030_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="8" style="width:181.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="8" style="width:181.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Minimum</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financed</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Minimum</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financed</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Lease</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Sales</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Lease</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Sales</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Payments</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Total</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Payments</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Total</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">In good standing</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,465</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">110,249</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">117,714</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,741</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">111,568</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">119,309</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Credit Watch</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,683</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,683</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,514</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,514</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Pre-approved transactions</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">633</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">633</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">842</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">842</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Transactions suspended</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,015</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">611</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,626</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,015</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">611</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,626</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,480</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,176</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">121,656</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,756</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,535</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">123,291</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">While recognition of finance income is suspended, payments received by a customer are applied against the outstanding balance owed. If payments are sufficient to cover any unreserved receivables, a recovery of provision taken on the billed amount, if applicable, is recorded to the extent of the residual cash received. Once the collectibility issues are resolved and the customer has returned to being in good standing, the Company will resume recognition of finance income. </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_e9ffbcff805244beb539fcf7f0324d2d"><font style="font-family:'Times New Roman'">The Company&#8217;s investment in financing receivables on nonaccrual status is as follows:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00031_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td></tr><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td></tr><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,015</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,015</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td></tr><tr style="height:12.75pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">611</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">611</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td></tr><tr style="height:13.5pt"><td style="width:261pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,626</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,166)</font></p></td><td style="width:15pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,626</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,166)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_7233997d4f49480a8ef04a8adada069e"><font style="font-family:'Times New Roman'">The Company considers financing receivables with aging between 60-89 days as indications of theaters with potential collection concerns. The Company will begin to focus its review on these financing receivables and increase its discussions internally and with the theater regarding payment status. Once a theater&#8217;s aging exceeds 90 days, the Company&#8217;s policy is to review and assess collectibility on the theater&#8217;s past due accounts. Over 90 days past due is used by the Company as an indicator of potential impairment as invoices up to 90 days outstanding could be considered reasonable due to the time required for dispute resolution or for the provision of further information or supporting documentation to the customer.</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><br style="page-break-before:always; clear:both" /><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_cc5deaf07b3945dcb8fdae9001dea646"><font style="font-family:'Times New Roman'">The Company&#8217;s aged financing receivables are as follows:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00032_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="23" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accrued</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Billed</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unbilled</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Total</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">30-89</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financing</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net of</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Current</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">90+ Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowances</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowances</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">41</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">94</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">763</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">898</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,582</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,480</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,808</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,884</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,379</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,879</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,142</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">106,035</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,176</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">112,682</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,925</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,473</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,642</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,040</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,617</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">121,656</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,166)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">120,490</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="23" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:32.75pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accrued</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Billed</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unbilled</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Total</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">30-89</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:29.9pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financing</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net of</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Current</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">90+ Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowances</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.45pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowances</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">159</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">781</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">968</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,788</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,756</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(672)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,084</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,393</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,724</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,368</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">6,485</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">108,050</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,535</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">114,041</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:122.4pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:1.05pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,421</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.05pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,883</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,149</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">7,453</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">115,838</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">123,291</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:35.9pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,166)</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.45pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.75pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">122,125</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_41509c59fc3c4468827284bf24b2bb7d"><font style="font-family:'Times New Roman'">The Company&#8217;s recorded investment in past due financing receivables for which the Company continues to accrue finance income is as follows:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:550.5pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00033_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="20" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at March 31, 2017</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accrued</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Billed</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unbilled</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financing</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Past Due</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Current</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">30-89 Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">90+ Days</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and Accruing</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">38</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">61</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">293</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">392</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,237</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,629</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">146</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">968</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,280</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,394</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">25,876</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">29,270</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">184</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,029</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,573</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,786</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">28,113</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">31,899</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; 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padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; 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padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; 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padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="20" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">As at December 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:38.95pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Accrued</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Billed</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unbilled</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Financing</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Past Due</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Current</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">30-89 Days</font></p></td><td style="width:1pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">90+ Days</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Receivables</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">and Accruing</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net investment in leases</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">54</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">244</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">298</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,646</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,944</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">284</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">634</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,854</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,772</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">20,147</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">22,919</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:125.85pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Total</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">284</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">688</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,098</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">3,070</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">21,793</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:44.95pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">24,863</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_e65298390cc143958ce74bec7ff8f209"><font style="font-family:'Times New Roman'">The Company considers financing receivables to be impaired when it believes it to be probable that it will not recover the full amount of principal or interest owing under the arrangement. The Company uses its knowledge of the industry and economic trends, as well as its prior experiences to determine the amount recoverable for impaired financing receivables. </font></a><a name="DM_MAP_32c272ba4bc449d5a2a4c15bdc075447"><font style="font-family:'Times New Roman'">The following table discloses information regarding the Company&#8217;s impaired financing receivables:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:539.25pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00034_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="14" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">For the Three Months Ended March 31, 2017</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Average</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Interest</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unpaid</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Income</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Principal</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recognized</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Recorded investment for which there is a related allowance:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">525</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">75</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">525</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Recorded investment for which there is no related allowance:</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Total recorded investment in impaired loans:</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">525</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">75</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(494)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">525</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:36pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:34.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:36pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:36pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:36pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="14" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">For the Three Months Ended March 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Average</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Interest</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Unpaid</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Related</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recorded</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Income</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Principal</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Allowance</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Investment</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Recognized</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Recorded investment for which there is a related allowance:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">748</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">414</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(643)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">748</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Recorded investment for which there is no related allowance:</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; 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page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Total recorded investment in impaired loans:</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:0.75pt solid #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:245.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:30pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">Net financed sales receivables</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">748</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:40.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">414</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(643)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">748</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:42pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_78198770c14d4aee8f7c4e153feb698e"><font style="font-family:'Times New Roman'">The Company&#8217;s activity in the allowance for credit losses for the period and the Company&#8217;s recorded investment in financing receivables are as follows:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00035_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended March 31, 2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:Arial; font-weight:bold">&#xa0;</font></p></td><td colspan="5" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended March 31, 2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Investment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Financed</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Investment</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-top:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Net Financed</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">in Leases</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Sales Receivables</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">in Leases</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Sales Receivables</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; text-decoration:underline">Allowance for credit losses:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Beginning balance</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">672</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">494</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">672</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">568</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Charge-offs</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; 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vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:226.5pt; 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text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:6.75pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:226.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Ending balance: individually evaluated for impairment</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">8,480</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">113,176</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:1.5pt double #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">10,577</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:63pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">110,387</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><br style="page-break-before:always; clear:both" /></p><ol start="4" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Foreign Exchange Risk Management</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_7ceb87007c974bee92e14a43b9fb9305"><font style="font-family:'Times New Roman'">The Company is exposed to market risk from changes in foreign currency rates. A majority portion of the Company&#8217;s revenues is denominated in U.S. dollars while a substantial portion of its costs and expenses is denominated in Canadian dollars. A portion of the net U.S. dollar cash flows of the Company is periodically converted to Canadian dollars to fund Canadian dollar expenses through the spot market. In China and Japan the Company has ongoing operating expenses related to its operations in Chinese Renminbi and Japanese yen, respectively. Net cash flows are converted to and from U.S. dollars through the spot market. The Company also has cash receipts under leases denominated in Chinese Renminbi, Japanese yen, Canadian dollars and Euros which are converted to U.S. dollars through the spot market. In addition, because IMAX films generate box-office in 75 different countries, unfavourable exchange rates between applicable local currencies, and the U.S. dollar affect the Company&#8217;s reported gross box-office and revenues, further impacting the Company&#8217;s results of operations. The Company&#8217;s policy is to not use any financial instruments for trading or other speculative purposes. </font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company entered into a series of foreign currency forward contracts to manage the Company&#8217;s risks associated with the volatility of foreign currencies. Certain of these foreign currency forward contracts met the criteria required for hedge accounting under the Derivatives and Hedging Topic of the FASB</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">ASC at inception, and continue to meet hedge effectiveness tests at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (the &#8220;Foreign Currency Hedges&#8221;), with settlement dates throughout 2017 and </font><font style="font-family:'Times New Roman'">2018</font><font style="font-family:'Times New Roman'">. Foreign currency derivatives are recognized and measured in the balance sheet at fair value. Changes in the fair value (gains or losses) are recognized in the condensed consolidated statements of operations except for derivatives designated and qualifying as foreign currency cash flow hedging instruments. For foreign currency cash flow hedging instruments, the effective portion of the gain or loss in a hedge of a forecasted transaction is reported in other comprehensive income and reclassified to the condensed consolidated statements of operations when the forecasted transaction occurs. Any ineffective portion is recognized immediately in the condensed consolidated statements of operations. The Company currently does not hold any derivatives which are not designated as hedging instruments</font><font style="font-family:'Times New Roman'">.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following tabular disclosures reflect the impact that derivative instruments and hedging activities have on the Company&#8217;s condensed consolidated financial statements:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_465aa78957f74d9b99b56ee7dba46245"><font style="font-family:'Times New Roman'">Notional value of foreign exchange contracts:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00036_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Derivatives designated as hedging instruments:</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:412.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts &#8212; Forwards</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">39,802</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">37,825</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_daf84160f33c4afba432a19a55eb2689"><font style="font-family:'Times New Roman'">Fair value of derivatives in foreign exchange contracts:</font></a></p><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00037_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">March 31,</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">December 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold; text-decoration:underline">Balance Sheet Location</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:4.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="2" style="width:49.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:12.75pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Derivatives designated as hedging instruments:</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts &#8212; Forwards</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other assets</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">604</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">480</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-left:10pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Accrued and other liabilities</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(302)</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(776)</font></p></td></tr><tr style="height:13.5pt"><td style="width:262.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:144pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">302</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:10.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:48pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(296)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; font-size:10pt"><br style="page-break-before:always; clear:both" /></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">Derivatives in Foreign Currency Hedging relationships for the three months ended March 31:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_7824f6278512417a9acee2807f7a7385"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><a name="DOC_TBL00038_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td colspan="5" style="width:133.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts &#8212; Forwards</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Derivative Gain </font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Recognized in OCI </font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(Effective Portion)</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">313</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,207</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Location of Derivative Loss</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Reclassified from AOCI</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td colspan="5" style="width:133.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">into Income (Effective Portion)</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts &#8212; Forwards</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Selling, general and </font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="width:52.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">administrative expenses</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(285)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; page-break-inside:avoid; page-break-after:avoid; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(1,277)</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00039_1_1"></a><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:Arial">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td colspan="5" style="width:133.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">Three Months Ended March 31,</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; border-top:0.75pt solid #000000; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2017</font></p></td><td style="width:1.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:52.5pt; border-bottom:0.75pt solid #000000; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:center; line-height:108%; font-size:8pt"><font style="font-family:'Times New Roman'; font-weight:bold">2016</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Foreign exchange contracts - Forwards</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Derivative Loss </font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Recognized In and Out of </font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:1.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:13.5pt"><td style="width:266.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:116.25pt; padding-right:3pt; padding-left:3pt; vertical-align:top"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">OCI (Effective Portion)</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(47)</font></p></td><td style="width:7.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:7.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:58.5pt; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">-</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&apos;s estimated net amount of the existing gains as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> is $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'"> million, which is expected to be reclassified to earnings within the next twelve months</font></p><p style="margin-top:0pt; margin-bottom:0pt; page-break-inside:avoid; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="5" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.07pt; text-align:justify; page-break-after:avoid; padding-left:2.73pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Investments in New Business Ventures</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company accounts for investments in new business ventures using the guidance of the FASB</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">ASC</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">323 or FASB</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">ASC</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">320, as appropriate. As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the equity method of accounting is being utilized for an investment with a carrying value of $nil (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $nil). The Company&#8217;s accumulated losses in excess of its equity investment were $</font><font style="font-family:'Times New Roman'">0.7</font><font style="font-family:'Times New Roman'"> million as at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, and are classified in Accrued and other liabilities. For the three months ended </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, gross revenues, cost of revenue and net loss for the Company&#8217;s investments were $</font><font style="font-family:'Times New Roman'">0.2</font><font style="font-family:'Times New Roman'"> million, $</font><font style="font-family:'Times New Roman'">0.9</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million and $</font><font style="font-family:'Times New Roman'">0.7</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million, respectively (</font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">0.4</font><font style="font-family:'Times New Roman'"> million</font><font style="font-family:'Times New Roman'">, $</font><font style="font-family:'Times New Roman'">2.2</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million and $</font><font style="font-family:'Times New Roman'">1.8</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million, respectively). The Company has determined it is not the primary beneficiary of this VIE, and therefore this entity has not been consolidated. In 2016, the Company issued a convertible loan of $1.0 million to this entity with a term of 3 years with an annual effective interest rate of 5.0%. The instrument is classified as an available-for-sale investment due to certain features that allow for conversion to common stock in the entity in the event of certain triggers occurring. In addition, the Company has an investment in preferred stock of another business venture of $</font><font style="font-family:'Times New Roman'">1.5</font><font style="font-family:'Times New Roman'"> million which meet the criteria for classification as a debt security under the FASB ASC 320 and is recorded at a fair value of $</font><font style="font-family:'Times New Roman'">nil</font><font style="font-family:'Times New Roman'"> at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">nil</font><font style="font-family:'Times New Roman'">). This investment was classified as an available-for-sale investment. Furthermore, the Company has an investment of $</font><font style="font-family:'Times New Roman'">1.0</font><font style="font-family:'Times New Roman'"> million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">1.0</font><font style="font-family:'Times New Roman'"> million) in the shares of an exchange traded fund. This investment is also classified as an available-for-sale investment. As at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'">, the Company held investments with a total value of $</font><font style="font-family:'Times New Roman'">3.5</font><font style="font-family:'Times New Roman'"> million in the preferred shares of enterprises which meet the criteria for classification as an equity security under FASB ASC 325, carried at historical cost, net of impairment charges. The carrying value of these equity security investments was $</font><font style="font-family:'Times New Roman'">1.0</font><font style="font-family:'Times New Roman'"> million at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $nil). The total carrying value of investments in new business ventures at </font><font style="font-family:'Times New Roman'">March 31,</font><font style="font-family:'Times New Roman'"> </font><font style="font-family:'Times New Roman'">2017</font><font style="font-family:'Times New Roman'"> is $</font><font style="font-family:'Times New Roman'">3.0</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million (December 31, </font><font style="font-family:'Times New Roman'">2016</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">&#8212; $</font><font style="font-family:'Times New Roman'">2.0</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">million) and is recorded in Other assets.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:360pt; padding-right:3pt; padding-left:3pt; vertical-align:middle"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00041_1_1"></a><font style="font-family:'Times New Roman'">Balance as at December 31, 2016</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:6pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">59,562</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:360pt; padding-right:3pt; padding-left:3pt; vertical-align:middle"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net income</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,463</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:360pt; padding-right:3pt; padding-left:3pt; vertical-align:middle"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other comprehensive loss</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">146</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:360pt; padding-right:3pt; padding-left:3pt; vertical-align:middle"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Balance as at March 31, 2017</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:6pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">61,171</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:371.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00040_1_1"></a><font style="font-family:'Times New Roman'">Balance as at December 31, 2016</font></p></td><td style="width:43.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:5.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:6pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">4,980</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:371.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net loss</font></p></td><td style="width:43.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:43.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:5.25pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:6pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">(2,425)</font></p></td></tr><tr style="height:13.5pt"><td style="width:371.25pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Balance as at March 31, 2017</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">&#xa0;</font></p></td><td style="width:6pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">2,555</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; font-size:12pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-align:justify; page-break-after:avoid; font-size:10pt"><font style="font-family:'Times New Roman'; font-weight:bold">16.&#160; Non-Controlling Interests</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>IMAX China Non-Controlling Interest</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">On April 8, 2014, the Company announced sale and issuance of 20% of the shares of IMAX China to entities owned and controlled by CMC Capital Partners (&#8220;CMC&#8221;), an investment fund that is focused on media and entertainment, and FountainVest Partners (&#8220;FountainVest&#8221;), a China-focused private equity firm. The sale price for the interest was $80.0 million, and was paid by the investors in two equal installments on April 8, 2014 and February 10, 2015.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">On October 8, 2015, IMAX China completed the IMAX China IPO. Following the IMAX China IPO, the Company continues to indirectly own approximately 68.2% of IMAX China, which remains a consolidated subsidiary of the Company. On October 15, 2015, in satisfaction of its obligations under the shareholders&#8217; agreement, IMAX China paid a dividend of $9.5 million to the non-controlling interest shareholders.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following summarizes the movement of the non-controlling interest in shareholders&#8217; equity, in the Company&#8217;s subsidiary for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_5e28ce3b0dfd4ff78df516a140d7f03b"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; border-collapse:collapse"><tr style="height:12.75pt"><td style="width:360pt; padding-right:3pt; padding-left:3pt; vertical-align:middle"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><a name="DOC_TBL00041_1_1"></a><font style="font-family:'Times New Roman'">Balance as at December 31, 2016</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:6pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">59,562</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:360pt; padding-right:3pt; padding-left:3pt; vertical-align:middle"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Net income</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">1,463</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:360pt; padding-right:3pt; padding-left:3pt; vertical-align:middle"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Other comprehensive loss</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">146</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr><tr style="height:12.75pt"><td style="width:360pt; padding-right:3pt; padding-left:3pt; vertical-align:middle"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">Balance as at March 31, 2017</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:37.5pt; padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="padding-right:3pt; padding-left:3pt; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; line-height:108%; font-size:9pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:6pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">$</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td><td style="width:64.5pt; border-top:0.75pt solid #000000; border-bottom:1.5pt double #000000; vertical-align:bottom"><p style="margin-top:0pt; margin-bottom:8pt; text-align:right; line-height:108%; font-size:10pt"><font style="font-family:'Times New Roman'">61,171</font><font style="font-family:'Times New Roman'">&#xa0;</font></p></td></tr></table><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><ol start="2" type="a" style="margin:0pt; padding-left:0pt"><li style="margin-left:26.63pt; text-align:justify; page-break-after:avoid; padding-left:2.17pt; font-family:'Times New Roman'; font-size:10pt; font-weight:bold; font-style:italic"><font>Other Non-Controlling Interest</font></li></ol><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In 2014, the Company announced the creation of the Film Fund to co-finance a portfolio of 10 original large-format films. The Film Fund, which is intended to be capitalized with up to $</font><font style="font-family:'Times New Roman'">50.0</font><font style="font-family:'Times New Roman'"> million, will finance an ongoing supply of original films that the Company believes will be more exciting and compelling than traditional documentaries. The initial investment in the Film Fund was committed to by a third party in the amount of $</font><font style="font-family:'Times New Roman'">25.0</font><font style="font-family:'Times New Roman'"> million, with the possibility of contributing additional funds. The Company agreed to contribute $</font><font style="font-family:'Times New Roman'">9.0</font><font style="font-family:'Times New Roman'"> million to the Film Fund over five years starting in 2014 and sees the Film Fund as a self-perpetuating vehicle designed to generate a continuous, steady flow of high-quality documentary content. As at March 31, 2017, the Film Fund invested $13.4 million toward the development of original films. The related production, financing and distribution agreement includes put and call rights relating to change of control of the rights, title and interest in the co-financed pictures.&#160; </font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The following summarizes the movement of the non-controlling interest in temporary equity, in the Company&#8217;s subsidiary for the </font><font style="font-family:'Times New Roman'">three months ended March 31, 2017</font><font style="font-family:'Times New Roman'">:</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><a name="DM_MAP_95c6bd28819240448f8c4cb7d6a274c8"><font style="font-family:'Times New Roman'">&#xa0;</font></a></p><table cellspacing="0" cellpadding="0" style="width:540pt; 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The accounting policies relating to co-produced film arrangements are disclosed in note 2(m) of the Company&#8217;s </font><font style="font-family:'Times New Roman'">201</font><font style="font-family:'Times New Roman'">6 Form</font><font style="font-family:'Times New Roman'">&#xa0;</font><font style="font-family:'Times New Roman'">10-K.</font></p></div> <div class="Section1"><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">In the first quarter of 2017, modifications have been made to the CEO&#8217;s reporting package to move away from the Company&#8217;s historical two primary groups </font><font style="font-family:'Times New Roman'">&#8211; IMAX Theater Systems and Film &#8211; and align with the way in which the CODM manages the business. The new structure is expected to assist users of the financial statements with an enhanced understanding of how management views the business, and the drivers behind the Company&#8217;s performance. C</font><font style="font-family:'Times New Roman'">ertain of the prior period&#8217;s figures have been reclassified to conform to the current period&#8217;s presentation.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company has identified new business as an additional reportable segment in the first quarter of 2017. The Company now has the following eight reportable segments: IMAX systems; IMAX DMR; joint revenue sharing arrangements; theater system maintenance; film distribution; film post-production; new business; and other.</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">&#xa0;</font></p><p style="margin-top:0pt; margin-bottom:0pt; text-indent:10.8pt; text-align:justify; font-size:10pt"><font style="font-family:'Times New Roman'">The Company&#8217;s reportable segments are now under four primary groups identified by nature of product sold or service provided: </font><font style="font-family:'Times New Roman'">(1) Network Business, representing variable revenue generated by box-office results and which includes the reportable segment of IMAX DMR and contingent rent from the joint revenue sharing arrangements and IMAX systems segments; (2) Theater Business, representing revenue generated by the sale and installation of theater systems and maintenance services, primarily related to the IMAX Systems and Theater System Maintenance reportable segments, and also includes fixed hybrid revenues and upfront installation costs from the joint revenue sharing arrangements segment and </font><font style="font-family:'Times New Roman'">after-market sales of projection system parts and 3D glasses from the other segment</font><font style="font-family:'Times New Roman'">; (3) New Business, which includes content licensing and distribution fees associated with the Company&#8217;s original content investments, virtual reality initiatives, IMAX Home Entertainment, and other business initiatives that are in the development and/or start-up phase, and (4) Other; which includes the film post-production and distribution segments and</font><font style="font-family:'Times New Roman'"> certain IMAX theaters that the Company owns and operates, camera rentals and other miscellaneous items from the other segment. The Company is presenting information at a disaggregated level to provide more relevant information to readers, as permitted by the standard. The accounting policies of the segments are the same as those described in note 2 to the audited consolidated financial statements included in the Company&#8217;s 2016 Form 10-K. In addition, refer to Item 2 of the Company&#8217;s Form 10-Q for additional information regarding the four primary groups mentioned above.</font></p></div> The Company recognized asset impairment charges of against property, plant and equipment after an assessment of the carrying value of certain assets in light of their future expected cash flows. The Company reviewed the carrying value of certain documentary film assets as a result of lower than expected revenue being generated during the period and revised expectations for future revenues based on the latest information available. An impairment of $3.4 million was recorded based on the carrying value of these documentary films as compared to the related estimated future box office and revenues that would ultimately be generated by these films. The Company’s largest customer represented 17.2% of total revenues for the three months ended March 31, 2017 (2016 — 16.0%). IMAX DMR segment margins include marketing costs of $2.6 million for the three months ended March 31, 2017 (2016 — $2.3 million). Joint revenue sharing arrangements segment margins include advertising, marketing and commission costs of $0.4 million for the three months ended March 31, 2017 (2016 — $0.1 million). IMAX systems segment margins include marketing and commission costs of $0.4 million for the three months ended March 31, 2017 (2016 — $0.5 million). Film distribution segment margins include a marketing recovery of $0.2 million for the three months ended March 31, 2017 (2016 — expense of $0.7 million). 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Mar. 31, 2017
shares
Document and Entity Information [Abstract]  
Entity Registrant Name IMAX Corporation
Entity Central Index Key 0000921582
Document Type 10-Q
Document Period End Date Mar. 31, 2017
Amendment Flag false
Document Fiscal Year Focus 2017
Document Fiscal Period Focus Q1
Current Fiscal Year End Date --12-31
Entity Well Known Seasoned Issuer Yes
Entity Voluntary Filers Yes
Entity Current Reporting Status Yes
Entity Filer Category Large Accelerated Filer
Entity Common Stock Shares Outstanding 66,573,078
Trading Symbol IMAX
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Condensed Consolidated Balance Sheets (Unaudited) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Assets    
Cash and cash equivalents $ 190,481 $ 204,759
Accounts receivable, net of allowance for doubtful accounts of $1,282 (December 31, 2016 - $1,250) 96,113 96,349
Financing receivables 120,490 122,125
Inventories 45,433 42,121
Prepaid expenses 8,047 6,626
Film assets 13,413 16,522
Property, plant and equipment 248,228 245,415
Other assets 19,660 33,195
Deferred income taxes 29,491 20,779
Other intangible assets 31,106 30,416
Goodwill 39,027 39,027
Total assets 841,489 857,334
Liabilities    
Total bank indebtedness 26,826 27,316
Accounts payable 13,935 19,990
Accrued and other liabilities 75,424 93,208
Deferred revenue 100,901 90,266
Total liabilities 217,086 230,780
Commitments and contingencies
Non-controlling interests    
Non-controlling interests 2,555 4,980
Shareholders' equity    
Capital stock common shares - no par value. Authorized - unlimited number. 66,596,784 issued and 66,573,078 outstanding (December 31, 2016 - 66,224,467 issued and 66,159,902 outstanding) 455,838 439,213
Less: Treasury stock, 23,706 shares at cost (December 31, 2016 - 64,565) (779) (1,939)
Other equity 165,670 177,304
Accumulated deficit (55,605) (47,366)
Accumulated other comprehensive loss (4,447) (5,200)
Total shareholders' equity attributable to common shareholders 560,677 562,012
Non-controlling interests 61,171 59,562
Total shareholders' equity 621,848 621,574
Total liabilities and shareholders' equity $ 841,489 $ 857,334
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$ in Thousands
3 Months Ended 12 Months Ended
Mar. 31, 2017
Dec. 31, 2016
Assets    
Allowance for doubtful accounts $ 1,282 $ 1,250
Shareholders' equity    
Common stock, shares issued 66,596,784 66,224,467
Common stock, shares outstanding 66,573,078 66,159,902
Number of treasury shares held in trust for future settlement of share based awards 23,706 64,565
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Condensed Consolidated Statements of Operations (Unaudited) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Revenues    
Equipment and product sales $ 11,544 $ 23,740
Services 38,844 44,273
Rentals 15,857 21,779
Finance income 2,412 2,336
Revenues, total 68,657 92,128
Costs and expenses applicable to revenues    
Equipment and product sales 7,464 17,791
Services 19,814 17,596
Rentals 5,608 4,565
Cost and expenses applicable to revenues, total 32,886 39,952
Gross margin 35,771 52,176
Selling, general and administrative expenses (including share-based compensation expense of $5.3 million for the three months ended March 31, 2017 (2016 - expense of $5.9 million)) 30,941 28,919
Research and development 4,334 3,708
Amortization of intangibles 602 491
Receivable provisions, net of recoveries 185 126
(Loss) income from operations (291) 18,932
Interest income 228 467
Interest expense (455) (398)
(Loss) income from operations before income taxes (518) 19,001
Provision for income taxes (114) (4,608)
Loss from equity-accounted investments, net of tax (255) (441)
Net (loss) income (887) 13,952
Less: Net loss (income) attributable to non-controlling interests 962 (2,650)
Net income attributable to common shareholders $ 75 $ 11,302
Net income per share attributable to common shareholders - basic and diluted:    
Net income per share - basic $ 0 $ 0.16
Net income per share - diluted $ 0 $ 0.16
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Condensed Consolidated Statements of Operations (Unaudited) (Parenthetical) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Condensed Consolidated Statements of Operations [Abstract]    
Share-based compensation costs $ 5.3 $ 5.9
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Mar. 31, 2016
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Unrealized net gain from cash flow hedging instruments 313 2,207
Realization of cash flow hedging net loss upon settlement 285 1,277
Foreign currency translation adjustments 458 422
Amortization of postretirement benefit plan actuarial loss 0 17
Other comprehensive income, before tax 1,056 3,923
Income tax expense related to other comprehensive income (157) (911)
Other comprehensive income, net of tax 899 3,012
Comprehensive income 12 16,964
Less: Comprehensive loss (income) attributable to non-controlling interests 816 (1,951)
Comprehensive income attributable to common shareholders $ 828 $ 15,013
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Condensed Consolidated Statements of Cash Flows (Unaudited) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Operating Activities    
Net (loss) income $ (887) $ 13,952
Adjustments to reconcile net (loss) income to cash from operations:    
Depreciation and amortization 12,088 10,438
Write-downs, net of recoveries 4,010 648
Change in deferred income taxes (958) (185)
Stock and other non-cash compensation 5,660 6,002
Unrealized foreign currency exchange gain (171) (557)
Loss from equity-accounted investments 156 818
Loss (gain) on non-cash contribution to equity-accounted investees 99 (377)
Investment in film assets (3,334) (3,919)
Changes in other non-cash operating assets and liabilities (17,280) (21,783)
Net cash (used in) provided by operating activities (617) 5,037
Investing Activities    
Purchase of property, plant and equipment (4,068) (4,585)
Investment in joint revenue sharing equipment (7,547) (3,988)
Investment in new business ventures (1,000) 0
Acquisition of other intangible assets (1,591) (770)
Net cash used in investing activities (14,206) (9,343)
Financing Activities    
Repayment of bank indebtedness (500) (500)
Settlement of restricted share units and options (11,158) (5,849)
Common shares issued - stock options exercised 13,082 740
Treasury stock purchased for future settlement of restricted share units (779) 0
Taxes withheld and paid on employee stock awards vested (146) (73)
Repurchase of common shares 0 (44,618)
Taxes paid on secondary sale and repatriation dividend 0 (2,991)
Net cash provided by (used in) provided by financing activities 499 (53,291)
Effects of exchange rate changes on cash 46 (100)
Decrease in cash and cash equivalents during period (14,278) (57,697)
Cash and cash equivalents, beginning of period 204,759 317,449
Cash and cash equivalents, end of period $ 190,481 $ 259,752
XML 19 R8.htm IDEA: XBRL DOCUMENT v3.7.0.1
Basis of Presentation
3 Months Ended
Mar. 31, 2017
Basis of Presentation and Condensed Consolidated Statements of Operations Supplemental Information [Abstract]  
Basis of Presentation

1.  Basis of Presentation

 

IMAX Corporation, together with its consolidated subsidiaries (the “Company”), prepares its financial statements in accordance with United States Generally Accepted Accounting Principles (“U.S. GAAP”).

 

The condensed consolidated financial statements include the accounts of the Company together with its consolidated subsidiaries, except for subsidiaries which the Company has identified as variable interest entities (“VIEs”) where the Company is not the primary beneficiary. The nature of the Company’s business is such that the results of operations for the interim periods presented are not necessarily indicative of results to be expected for the fiscal year. In the opinion of management, the information contained herein reflects all normal and recurring adjustments necessary to make the results of operations for the interim periods a fair statement of such operations.

 

The Company has evaluated its various variable interests to determine whether they are VIEs as required by the Consolidation Topic of the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC” or “Codification”).

 

The Company has nine film production companies that are VIEs. For four of the Company’s film production companies, the Company has determined that it is the primary beneficiary of these entities as the Company has the power to direct the activities of the respective VIE that most significantly impact the respective VIE’s economic performance and has the obligation to absorb losses of the VIE that could potentially be significant to the respective VIE or the right to receive benefits from the respective VIE that could potentially be significant to the respective VIE. These consolidated production companies have total assets of $5.8 million (December 31, 2016 — $10.3 million) and total liabilities of $6.5 million as at March 31, 2017 (December 31, 2016 — $6.4 million). The majority of these consolidated assets are held by the IMAX Original Film Fund (the “Film Fund”) as described in note 16(b). For the other five film production companies which are VIEs, the Company did not consolidate these film entities since it does not have the power to direct activities and does not absorb the majority of the expected losses or expected residual returns. The Company equity accounts for these entities. As at March 31, 2017, these five VIEs have total assets of $0.4 million (December 31, 2016 — $0.4 million) and total liabilities of $0.4 million (December 31, 2016 — $0.4 million). Earnings of the investees included in the Company’s condensed consolidated statements of operations amounted to $nil for the three months ended March 31, 2017 (2016 — $nil). The carrying value of these investments in VIEs that are not consolidated is $nil at March 31, 2017 (December 31, 2016 — $nil). A loss in value of an investment other than a temporary decline is recognized as a charge to the condensed consolidated statements of operations. The Company’s exposure, which is determined based on the level of funding contributed by the Company and the development stage of the respective film, is $nil at March 31, 2017 (December 31, 2016 — $nil).

 

The Company accounts for investments in new business ventures using the guidance of the FASB ASC 323 “Investments – Equity Method and Joint Ventures” (“ASC 323”) or ASC 320 “Investments in Debt and Equity Securities” (“ASC 320”), as appropriate.

 

All intercompany accounts and transactions, including all unrealized intercompany profits on transactions with equity-accounted investees, have been eliminated.

 

The year-end condensed consolidated balance sheet data was derived from audited financial statements, but does not include all disclosures required by U.S. GAAP.

 

These interim financial statements should be read in conjunction with the consolidated financial statements included in the Company’s 2016 Annual Report on Form 10-K for the year ended December 31, 2016 (“the 2016 Form 10-K”) which should be consulted for a summary of the significant accounting policies utilized by the Company. These interim financial statements are prepared following accounting policies consistent with the Company’s financial statements for the year ended December 31, 2016, except as noted below. Certain prior period information has been revised to reflect the current period information.

 

XML 20 R9.htm IDEA: XBRL DOCUMENT v3.7.0.1
New Accounting Standards and Accounting Changes
3 Months Ended
Mar. 31, 2017
New Accounting Standards and Accounting Changes [Abstract]  
New Accounting Standards and Accounting Changes

2.  New Accounting Standards and Accounting Changes

 

Adoption of New Accounting Policies

The Company adopted the following standards on January 1, 2017, which are effective for annual periods ending after December 31, 2016, and for annual and interim periods thereafter.

 

In July 2015, the FASB issued ASU No. 2015-11, “Inventory (Topic 330): Simplifying the Measurement of Inventory” (“ASU 2015-11”). The purpose of the amendment is to more closely align the measurement of inventory in U.S. GAAP with the measurement of inventory in International Financial Reporting Standards. Under the ASU inventory is measured at the lower of cost and net realizable value. The clarifications are not intended to result in any changes in practice and to reduce the complexity in guidance on the subsequent measurement of inventory. This standard only applies to inventory being measured using the first-in, first-out or average cost methods of accounting for inventory. The adoption of ASU 2015-11 did not have an impact to the Company’s condensed consolidated financial statements. 

 

In March 2016, the FASB issued ASU No. 2016-05, “Derivatives and Hedging (Topic 815): Effect of Derivative Contract Novations on Existing Hedge Accounting Relationships” (“ASU 2016-05”). The amendments in ASU 2016-05 apply to all reporting entities for which there is a change in the counterparty to a derivative instrument that has been designated as a hedging instrument under Topic 815. The amendments clarify that a change in the counterparty to a derivative instrument that has been designated as the hedging instrument under Topic 815 does not, in and of itself, require de-designation of that hedging relationship provided that all other hedge accounting criteria (including those in paragraphs 815-20-35-14 through 35-18) continue to be met. The adoption of this ASU 2016-05 did not have an impact to the Company’s condensed consolidated financial statements.

 

In March 2016, the FASB issued ASU No. 2016-07, “Investments – Equity Method and Joint Ventures (Topic 323): Simplifying the Transition to the Equity Method of Accounting” (“ASU 2016-07”). The purpose of the amendment is to eliminate the requirement that when an investment qualifies for use of the equity method as a result of an increase in the level of ownership interest or degree of influence, an investor must adjust the investment, results of operations, and retained earnings retroactively on a step-by step basis as if the equity method had been in effect during all previous periods that the investment had been held. The adoption of ASU 2016-07 did not have an impact to the Company’s condensed consolidated financial statements.

 

In October 2016, the FASB issued ASU No. 2016-16, “Income Taxes (Topic 740)”. The purpose of ASU 2016-16 is to eliminate the exception for an intra-entity transfer of an asset other than inventory. The amendments require the recognition of the income tax consequences of an intra-entity transfer of an asset, other than inventory, when the transfer occurs. The Company has elected to early adopt ASU 2016-16 during the quarter ended March 31, 2017. The impact from the adoption was reflected in the Company’s condensed consolidated financial statements on a modified retrospective basis resulting in an increase to Accumulated deficit of $8.3 million, a decrease to Other assets of $14.8 million, an increase to Deferred taxes of $7.9 million and an increase to Accrued and other liabilities of $1.4 million.

 

In October 2016, the FASB issued ASU No. 2016-17, “Consolidation (Topic 810)”. The purpose of ASU 2016-17 is to update the requirement of the reporting entity, in determining whether it satisfies the second characteristic of a primary beneficiary, to include all of its direct variable interests in a VIE and, on a proportionate basis, its indirect variable interests in a VIE held through related parties, including related parties that are under common control with the reporting entity. The adoption of ASU 2016-17 did not have an impact to the Company’s condensed consolidated financial statements.

 

Recently Issued FASB Accounting Standard Codification Updates

In February 2016, the FASB issued ASU No. 2016-02, “Leases (Topic 842)” (“ASU 2016-02”). The purpose of the amendment is to help investors and other financial statement users better understand the amount, timing, and uncertainty of cash flows arising from leases. New disclosures will include qualitative and quantitative requirements to provide additional information about the amounts recorded in the financial statements. Lessor accounting will remain largely unchanged from current guidance, however ASU 2016-02 will provide improvements that are intended to align lessor accounting with the lessee model and with updated revenue recognition guidance. For public entities, the amendments in ASU 2016-02 are effective for interim and annual reporting periods beginning after December 15, 2018. While the Company continues to evaluate the effect of the standard on its ongoing financial reporting, it anticipates that the adoption of ASU 2016-02 will result in a change to its financial statement disclosures.

 

In March 2016, the FASB issued ASU No. 2016-08, “Revenue from Contracts with Customers (Topic 606): Principal versus Agent Considerations” (“ASU 2016-08”). The purpose of ASU 2016-08 is to clarify the implementation of guidance on principal versus agent considerations.

 

In April 2016, the FASB issued ASU No. 2016-10, “Revenue from Contracts with Customers (Topic 606): Identifying Performance Obligations and Licensing” (“ASU 2016-10”). The purpose of ASU 2016-10 is to provide more detailed guidance in the following key areas: identifying performance obligations and licenses of intellectual property.

 

In May 2016, the FASB issued ASU No. 2016-11, to rescind from the FASB Accounting Standards Codification certain SEC paragraphs as a result of two SEC Staff Announcements at the March 3, 2016 meeting.

 

In May 2016, the FASB issued ASU No. 2016-12, “Revenue from Contracts with Customers (Topic 606): Narrow-Scope Improvements and Practical Expedients” (“ASU 2016-12”). The purpose of ASU 2016-12 is to clarify certain narrow aspects of Topic 606 such as assessing the collectibility criterion, presentation of sales taxes and other similar taxes collected from customers, noncash consideration, contract modifications at transition, completed contracts at transition, and technical corrections.

 

In December 2016, the FASB issued ASU No. 2016-20, “Technical Corrections and Improvements to Topic 606, Revenue from Contracts with Customers”. The amendments in ASU 2016-20 represent changes to clarify the accounting standard codification, correct unintended application of guidance, or make minor improvements to the accounting standards codification that are related to Topic 606, Revenue from Contracts with Customers.

 

For public companies, ASU 2016-08, ASU 2016-10, ASU 2016-11, ASU 2016-12 and ASU 2016-20, which are all related to Topic 606, are effective for interim and annual reporting periods beginning after December 15, 2017. The Company has performed an analysis of its contracts to determine those in scope of the standard, has performed detailed analyses of those contracts and identified its performance obligations.  The Company is currently in the process of determining contract consideration and is determining the appropriate timing for revenue recognition of those performance obligations.  Since many of the Company’s contracts involve variable payments tied to box-office, the Company is currently assessing an appropriate constraint to variable revenue streams in determining contract consideration under the new standard.  The Company currently intends to adopt the new standard using the modified retrospective method and has begun the process of gathering historical information on its contracts in preparation for the standard’s expanded disclosure requirements.

 

In June 2016, the FASB issued ASU No. 2016-13, “Financial Instruments – Credit Losses (Topic 326): Measurement of Credit Losses on Financial Instruments” (“ASU 2016-13”). The purpose of ASU 2016-13 is to require a financial asset measured on the amortized cost basis to be presented at the net amount expected to be collected. Credit losses relating to available-for-sale debt securities should be recorded through an allowance for credit losses. For public entities, the amendments in ASU 2016-13 are effective for interim and annual reporting periods beginning after December 15, 2019. The Company is currently assessing the impact of ASU 2016-13 on its condensed consolidated financial statements.

 

In January 2017, the FASB issued ASU No. 2017-01, “Business Combinations (Topic 805): Clarifying the Definition of a Business” (“ASU 2017-01”). The purpose of the amendment is to clarify the definition of a business with the objective of adding guidance to assist entities with evaluating whether transactions should be accounted for as acquisitions (or disposals) of assets or businesses. For public entities, the amendments in ASU 2017-01 are effective for interim and annual reporting periods beginning after December 15, 2017. The adoption of this ASU 2017-01 is not expected to have a material impact to the Company’s condensed consolidated financial statements.

 

In January 2017, the FASB issued ASU No. 2017-04, “Intangibles – Goodwill and Other (Topic 350): Simplifying the Test for Goodwill Impairment” (“ASU 2017-04”). The purpose of the amendment is to simplify how an entity is required to test goodwill for impairment by eliminating Step 2 from the goodwill impairment test. Step 2 measures a goodwill impairment loss by comparing the implied fair value of a reporting unit’s goodwill with the carrying amount of that goodwill. For public entities, the amendments in ASU 2017-04 are effective for interim and annual reporting periods beginning after December 15, 2019. The Company is currently assessing the impact of ASU 2017-04 on its condensed consolidated financial statements.

 

In March 2017, the FASB issued ASU No. 2017-07, “Compensation – Retirement Benefits (Topic 715): Improving the Presentation of Net Periodic Pension Cost and Net Periodic Postretirement Benefit Cost” (“ASU 2017-07”). The amendment requires the service cost component of net periodic benefit cost be presented in the same income statement line item as other employee compensation costs arising from services rendered during the period and other components of the net periodic benefit cost be presented separately from the line item that includes the service cost and outside of any subtotal of operating income. For public entities, the amendments in ASU 2017-07 are effective for interim and annual reporting periods beginning after December 15, 2017. The Company is currently assessing the impact of ASU 2017-07 on its condensed consolidated financial statements.

 

The Company considers the applicability and impact of all recently issued FASB accounting standard codification updates. Accounting standards updates that are not noted above were assessed and determined to be not applicable or not significant to the Company’s condensed consolidated financial statements for the period ended March 31, 2017.

 

XML 21 R10.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financing Receivables
3 Months Ended
Mar. 31, 2017
Financing Receivables [Abstract]  
Financing Receivables

3. Financing Receivables

 

Financing receivables, consisting of net investment in sales-type leases and receivables from financed sales of theater systems are as follows:

 

 

March 31,

 

December 31,

 

2017

 

2016

Gross minimum lease payments receivable

$ 

10,119 

 

$ 

10,466 

Unearned finance income

 

(1,639)

 

 

(1,710)

Minimum lease payments receivable

 

8,480 

 

 

8,756 

Accumulated allowance for uncollectible amounts

 

(672)

 

 

(672)

Net investment in leases

 

7,808 

 

 

8,084 

Gross financed sales receivables

 

151,561 

 

 

154,301 

Unearned finance income

 

(38,385)

 

 

(39,766)

Financed sales receivables

 

113,176 

 

 

114,535 

Accumulated allowance for uncollectible amounts

 

(494)

 

 

(494)

Net financed sales receivables

 

112,682 

 

 

114,041 

Total financing receivables

$ 

120,490 

 

$ 

122,125 

 

 

 

 

 

 

Net financed sales receivables due within one year

$ 

22,645 

 

$ 

21,980 

Net financed sales receivables due after one year

$ 

90,037 

 

$ 

92,061 

 

As at March 31, 2017, the financed sale receivables had a weighted average effective interest rate of 9.3% (December 31, 2016 9.3%).

XML 22 R11.htm IDEA: XBRL DOCUMENT v3.7.0.1
Inventories
3 Months Ended
Mar. 31, 2017
Inventories [Abstract]  
Inventories

4.  Inventories

 

 

March 31,

 

December 31,

 

2017

 

2016

Raw materials

$ 

31,565 

 

$ 

28,000 

Work-in-process

 

3,994 

 

 

3,818 

Finished goods

 

9,874 

 

 

10,303 

 

$ 

45,433 

 

$ 

42,121 

 

At March 31, 2017, finished goods inventory for which title had passed to the customer and revenue was deferred amounted to $3.3 million (December 31, 2016 — $2.3 million).

 

During the three months ended March 31, 2017, the Company recognized write-downs for excess and obsolete inventory based upon current estimates of net realizable value considering future events and conditions of $nil (2016 — $0.2 million).

XML 23 R12.htm IDEA: XBRL DOCUMENT v3.7.0.1
Property Plant and Equipment
3 Months Ended
Mar. 31, 2017
Property, Plant and Equipment [Abstract]  
Property, Plant and Equipment

5.  Property Plant and Equipment

 

 

As at March 31, 2017

 

 

 

 

Accumulated

 

Net Book

 

Cost

 

Depreciation

 

Value

Equipment leased or held for use

 

 

 

 

 

 

 

 

Theater system components

$ 

227,636 

 

$ 

93,280 

 

$ 

134,356 

Camera equipment

 

5,990 

 

 

3,879 

 

 

2,111 

 

 

233,626 

 

 

97,159 

 

 

136,467 

Assets under construction

 

22,175 

 

 

- 

 

 

22,175 

Other property, plant and equipment

 

 

 

 

 

 

 

 

Land

 

8,203 

 

 

- 

 

 

8,203 

Buildings

 

70,692 

 

 

15,439 

 

 

55,253 

Office and production equipment

 

42,513 

 

 

23,412 

 

 

19,101 

Leasehold improvements

 

10,452 

 

 

3,423 

 

 

7,029 

 

 

131,860 

 

 

42,274 

 

 

89,586 

 

$ 

387,661 

 

$ 

139,433 

 

$ 

248,228 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

As at December 31, 2016

 

 

 

 

Accumulated

 

Net Book

 

Cost

 

Depreciation

 

Value

Equipment leased or held for use

 

 

 

 

 

 

 

 

Theater system components

$ 

224,890 

 

$ 

89,218 

 

$ 

135,672 

Camera equipment

 

5,739 

 

 

3,732 

 

 

2,007 

 

 

230,629 

 

 

92,950 

 

 

137,679 

Assets under construction

 

18,315 

 

 

- 

 

 

18,315 

Other property, plant and equipment

 

 

 

 

 

 

 

 

Land

 

8,203 

 

 

- 

 

 

8,203 

Buildings

 

69,861 

 

 

14,877 

 

 

54,984 

Office and production equipment

 

41,128 

 

 

21,935 

 

 

19,193 

Leasehold improvements

 

10,067 

 

 

3,026 

 

 

7,041 

 

 

129,259 

 

 

39,838 

 

 

89,421 

 

$ 

378,203 

 

$ 

132,788 

 

$ 

245,415 

 

XML 24 R13.htm IDEA: XBRL DOCUMENT v3.7.0.1
Other Intangible Assets
3 Months Ended
Mar. 31, 2017
Other Intangible Assets [Abstract]  
Other Intangible Assets

6.  Other Intangible Assets

 

 

 

As at March 31, 2017

 

 

 

Accumulated

 

Net Book

 

Cost

 

Amortization

 

Value

Patents and trademarks

$ 

11,578 

 

$ 

7,216 

 

$ 

4,362 

Licenses and intellectual property

 

21,167 

 

 

6,522 

 

 

14,645 

Other

 

16,686 

 

 

4,587 

 

 

12,099 

 

$ 

49,431 

 

$ 

18,325 

 

$ 

31,106 

 

 

 

 

 

 

 

 

 

 

As at December 31, 2016

 

 

 

Accumulated

 

Net Book

 

Cost

 

Amortization

 

Value

Patents and trademarks

$ 

11,395 

 

$ 

7,046 

 

$ 

4,349 

Licenses and intellectual property

 

22,490 

 

 

7,620 

 

 

14,870 

Other

 

15,352 

 

 

4,155 

 

 

11,197 

 

$ 

49,237 

 

$ 

18,821 

 

$ 

30,416 

 

Other intangible assets of $16.7 million are comprised mainly of the Company’s investment in an enterprise resource planning system. Fully amortized other intangible assets are still in use by the Company.

 

During the three months ended March 31, 2017, the Company acquired $1.6 million in other intangible assets. The weighted average amortization period for these additions was 10 years.

 

During the three months ended March 31, 2017, the Company incurred costs of $0.1 million, to renew or extend the term of acquired other intangible assets which were recorded in selling, general and administrative expenses (2016 – $0.1 million).

 

As at March 31, 2017, estimated amortization expense for each of the years ended December 31, are as follows:

 

2017 (nine months remaining)

$ 

2,774 

2018

 

3,699 

2019

 

3,699 

2020

 

3,699 

2021

 

3,699 

 

XML 25 R14.htm IDEA: XBRL DOCUMENT v3.7.0.1
Credit Facility and Playa Vista Loan
3 Months Ended
Mar. 31, 2017
Credit Facility and Playa Vista Loan [Abstract]  
Credit Facility and Playa Vista Construction Loan [Text Block]

7.  Credit Facility and Playa Vista Loan

      

The Company maintains a senior secured credit facility (the “Credit Facility”) with a maximum borrowing capacity of $200.0 million and a scheduled maturity of March 3, 2020. The Credit Facility is collateralized by a first priority security interest in substantially all of the present and future assets of the Company and the Guarantors. Certain of the Company’s subsidiaries serve as guarantors (the “Guarantors”) of the Company’s obligations under the Credit Facility.

 

The terms of the Credit Facility are set forth in the Fourth Amended and Restated Credit Agreement (as amended, the “Credit Agreement”), dated March 3, 2015, among the Company, the Guarantors, the lenders named therein, Wells Fargo Bank, National Association (“Wells Fargo”), as agent and issuing lender (Wells Fargo, together with the lenders named therein, the “Lenders”) and Wells Fargo Securities, LLC, as Sole Lead Arranger and Sole Bookrunner and in various collateral and security documents entered into by the Company and the Guarantors. Each of the Guarantors has also entered into a guarantee in respect of the Company’s obligations under the Credit Facility. On February 22, 2016, the Company amended the terms of the Credit Agreement to increase the general restricted payment basket thereunder (which covers, among other things, the repurchase of shares) from $150.0 million to $350.0 million in the aggregate after the amendment date.

 

The Company was in compliance with all of its requirements at March 31, 2017.

 

Total amounts drawn and available under the Credit Facility at March 31, 2017 were $nil and $200.0 million, respectively (December 31, 2016 — $nil and $200.0 million, respectively).

 

As at March 31, 2017, the Company did not have any letters of credit and advance payment guarantees outstanding (December 31, 2016 — $nil), under the Credit Facility.

 

Playa Vista Financing

 

IMAX PV Development Inc., a Delaware corporation (“PV Borrower”) and wholly-owned subsidiary of the Company, entered into a loan agreement with Wells Fargo. The loan (the “Playa Vista Loan”) was used to principally fund the costs of development and construction of the West Coast headquarters of the Company, located in the Playa Vista neighborhood of Los Angeles, California (the “Playa Vista Project”).

 

In connection with the Playa Vista Project, the Playa Vista Loan was fully drawn at $30.0 million and bears interest at a variable rate per annum equal to 2.0% above the 30-day LIBOR rate. PV Borrower is required to make monthly payments of combined principal and interest over a 10-year term with a lump sum payment at the end of year 10. The Playa Vista Loan is being amortized over 15 years. The Playa Vista Loan will be fully due and payable on October 19, 2025 (the “Maturity Date”), and may be prepaid at any time without premium, but with all accrued interest and other applicable payments.

 

The Playa Vista Loan is secured by a deed of trust from PV Borrower in favor of Wells Fargo and other documents evidencing and securing the loan (the “Loan Documents”), granting a first lien on and security interest in the Playa Vista property and the Playa Vista Project, including all improvements to be constructed thereon. The Loan Documents include absolute and unconditional payment and completion guarantees provided by the Company to Wells Fargo for the performance by PV Borrower of all the terms and provisions of the Playa Vista Loan.

 

The Loan Documents contain affirmative, negative and financial covenants (including compliance with the financial covenants of the Company’s outstanding Credit Facility), agreements, representations, warranties, borrowing conditions, and events of default customary for development projects such as the Playa Vista Project.


 

Bank indebtedness includes the following:

 

 

March 31,

 

December 31,

 

2017

 

2016

Playa Vista Loan

$ 

27,167 

 

$ 

27,667 

Deferred charges on debt financing

 

(341)

 

 

(351)

 

$ 

26,826 

 

$ 

27,316 

 

Total amounts drawn under the loan at March 31, 2017 was $27.2 million (December 31, 2016 — $27.7 million). The effective interest rate for the three months ended March 31, 2017 was 2.85% (20162.43%).

 

In accordance with the loan agreement, the Company is obligated to make payments on the principal of the loan as follows:

 

2017 (nine months remaining)

$ 

1,500 

2018

 

2,000 

2019

 

2,000 

2020

 

2,000 

2021

 

2,000 

Thereafter

 

17,667 

 

$ 

27,167 

 

Wells Fargo Foreign Exchange Facility

 

Within the Credit Facility, the Company is able to purchase foreign currency forward contracts and/or other swap arrangements. There is no settlement risk on its foreign currency forward contracts at March 31, 2017, as the fair value exceeded the notional value of the forward contracts. As at March 31, 2017, the Company has $39.8 million in notional value of such arrangements outstanding.

 

Bank of Montreal Facility

 

As at March 31, 2017, the Company has available a $10.0 million facility (December 31, 2016 — $10.0 million) with the Bank of Montreal for use solely in conjunction with the issuance of performance guarantees and letters of credit fully insured by Export Development Canada (the “Bank of Montreal Facility”). The Company did not have any letters of credit and advance payment guarantees outstanding as at March 31, 2017 (December 31, 2016 — $0.1 million) under the Bank of Montreal Facility.

XML 26 R15.htm IDEA: XBRL DOCUMENT v3.7.0.1
Contingencies and Guarantees
3 Months Ended
Mar. 31, 2017
Commitments, Contingencies and Guarantees [Abstract]  
Contingencies and Guarantees

8.  Contingencies and Guarantees

 

The Company is involved in lawsuits, claims, and proceedings, including those identified below, which arise in the ordinary course of business. In accordance with the Contingencies Topic of the FASB ASC, the Company will make a provision for a liability when it is both probable that a loss has been incurred and the amount of the loss can be reasonably estimated. The Company believes it has adequate provisions for any such matters. The Company reviews these provisions in conjunction with any related provisions on assets related to the claims at least quarterly and adjusts these provisions to reflect the impacts of negotiations, settlements, rulings, advice of legal counsel and other pertinent information related to the case. Should developments in any of these matters outlined below cause a change in the Company’s determination as to an unfavorable outcome and result in the need to recognize a material provision, or, should any of these matters result in a final adverse judgment or be settled for significant amounts, they could have a material adverse effect on the Company’s results of operations, cash flows, and financial position in the period or periods in which such a change in determination, settlement or judgment occurs.

 

The Company expenses legal costs relating to its lawsuits, claims and proceedings as incurred.

 

  1.   On May 15, 2006, the Company initiated arbitration against Three-Dimensional Media Group, Ltd. (“3DMG”) before the International Centre for Dispute Resolution in New York (the “ICDR”), alleging breaches of the license and consulting agreements between the Company and 3DMG. On June 15, 2006, 3DMG filed an answer denying any breaches and asserting counterclaims that the Company breached the parties’ license agreement. On June 21, 2007, the ICDR unanimously denied 3DMG’s Motion for Summary Judgment filed on April 11, 2007 concerning the Company’s claims and 3DMG’s counterclaims. The proceeding was suspended on May 4, 2009 due to failure of 3DMG to pay fees associated with the proceeding. The proceeding was further suspended on October 11, 2010 pending resolution of re-examination proceedings involving one of 3DMG’s patents. Following a status conference on April 27, 2016 before the ICDR, the ICDR granted 3DMG leave to amend its answer and counterclaims, and subsequently lifted the stay in this matter. In its amended counterclaims, 3DMG seeks damages for alleged unpaid royalties and other fees under the license and consulting agreements. Discovery is currently ongoing and a final hearing before the ICDR has been scheduled for the week of July 10, 2017. Given the stage of discovery, the Company is unable to determine a range of potential damages in this matter. However, the Company believes that the amount of loss, if any, suffered in connection with the amended counterclaims would not have a material impact on the financial position or results of operations of the Company, although no assurance can be given with respect to the ultimate outcome of the arbitration.

 

  1. In January 2004, the Company and IMAX Theatre Services Ltd., a subsidiary of the Company, commenced an arbitration seeking damages before the International Court of Arbitration of the International Chamber of Commerce (the “ICC”) with respect to the breach by Electronic Media Limited (“EML”) of its December 2000 agreement with the Company. In June 2004, the Company commenced a related arbitration before the ICC against EML’s affiliate, E-City Entertainment (I) PVT Limited (“E-City”). On March 27, 2008, the arbitration panel issued a final award in favor of the Company in the amount of $11.3 million, consisting of past and future rents owed to the Company, plus interest and costs, as well as an additional $2,512 each day in interest from October 1, 2007 until the date the award is paid. In July 2008, E-City commenced a proceeding in Mumbai, India seeking an order that the ICC award may not be recognized in India. The Company has opposed that application on a number of grounds and seeks to have the ICC award recognized in India. On June 10, 2013, the Bombay High Court ruled that it has jurisdiction over the proceeding filed by E-City. The Company appealed that ruling to the Supreme Court of India, and on March 10, 2017, the Supreme Court set aside the Bombay High Court’s judgement and dismissed E-City’s petition. On March 29, 2017, the Company filed an Execution Application in the Bombay High Court seeking to enforce the ICC award against E-City and several related parties. On June 24, 2011, the Company commenced a proceeding in the Ontario Superior Court of Justice for recognition of the ICC final award. On December 2, 2011, the Ontario Court issued an order recognizing the final award and requiring E-City to pay the Company $30,000 to cover the costs of the application. In January 2013, the Company filed an action in the New York Supreme Court seeking to collect the amount owed to the Company by certain entities and individuals affiliated with E-City. On October 16, 2015, the New York Supreme Court denied the Company’s petition, and the Company is appealing that decision. On July 29, 2014, the Company commenced a separate proceeding to have the Canadian judgment against E-City recognized in New York, and on October 2, 2015, the New York Supreme Court granted IMAX’s request, recognizing the Canadian judgment and entering it as a New York judgment. On November 26, 2014, E-City filed a motion in the Bombay High Court seeking to enjoin IMAX from continuing the New York legal proceedings. On February 2, 2015, the Bombay High Court denied E-City’s request for an injunction. On March 16, 2015, E-City filed an appeal of this Bombay High Court decision.

 

  1.   In March 2013, IMAX (Shanghai) Multimedia Technology Co., Ltd. (“IMAX Shanghai”), the Company’s majority-owned subsidiary in China, received notice from the Shanghai office of the General Administration of Customs (“Customs Authority”) that it had been selected for a customs audit (the “Audit”).  A key issue raised by the Audit is the transfer pricing policy basis for the importation of IMAX theater systems by IMAX Shanghai into the People’s Republic of China and the applicability of customs duties and taxes to the trademark and technology license fees paid by IMAX Shanghai to the Company. In December 2016, the Customs Authority conclusively determined that any trademark, technology and warranty fees paid by IMAX Shanghai on systems revenue directly related to imported theater systems should be included as part of the tax cost base of these systems and subject to applicable duties and taxes.  In connection with the conclusion, for the period beginning January 1, 2012 through October 31, 2016, IMAX Shanghai recorded $2.95 million in duties and taxes on the trademark, technology and warranty fees applicable to theater systems imported during that period and settled the payment in January 2017. In the course of the Audit, the Customs Authority discovered the underpayment by IMAX Shanghai of the freight and insurance portion of the customs duties and taxes applicable to the importation of certain IMAX theater systems during the period from October 2011 through March 2013 of approximately $0.1 million. Though IMAX Shanghai’s importation agent accepted responsibility for the error giving rise to the underpayment, the matter has been transferred to the Anti-Smuggling Bureau of the Customs Authority for further review. IMAX Shanghai is unable to assess the potential impact, if any, of this outstanding matter at this time.

 

  1. On November 11, 2013, Giencourt Investments, S.A. (“Giencourt”) initiated arbitration before the International Centre for Dispute Resolution in Miami, Florida, based on alleged breaches by the Company of its theater agreement and related license agreement with Giencourt. Giencourt submitted its statement of claim in January 2015, the Company submitted its statement of defense and counterclaim in April 2015 and Giencourt submitted its arbitration reply paper in September 2015. An arbitration hearing for witness testimony was held during the week of December 14, 2015. At the hearing, Giencourt’s expert identified monetary damages of up to approximately $10.4 million, which Giencourt seeks to recover from the Company. The Company has asserted a counterclaim against Giencourt for breach of contract and seeks to recover lost profits in excess of $24.0 million under the agreements. In addition, on December 10, 2015, Giencourt made a motion to the panel seeking to enforce a purported settlement of the matter based on negotiations between Giencourt and the Company. The panel held a final hearing with closing arguments on October 20 and 21, 2016. On February 7, 2017, the panel issued a Partial Final Award (the “Award”), which held that the parties had reached a binding settlement, and therefore the panel did not reach the merits of the dispute. The Company strongly disputes that discussions about a potential resolution of this matter amounted to an enforceable settlement. The Company is currently reviewing the Award and assessing its response and potential next steps, including a potential challenge in Florida court on the grounds that the panel exceeded its jurisdiction. At this time, the Company is unable to determine the amounts that it may owe pursuant to the Award, or the timing of any such payments, and therefore no assurances can be given with respect to the ultimate outcome of the matter.

 

  1.   In addition to the matters described above, the Company is currently involved in other legal proceedings or governmental inquiries which, in the opinion of the Company’s management, will not materially affect the Company’s financial position or future operating results, although no assurance can be given with respect to the ultimate outcome of any such proceedings.

 

  1.    In the normal course of business, the Company enters into agreements that may contain features that meet the definition of a guarantee. The Guarantees Topic of the FASB ASC defines a guarantee to be a contract (including an indemnity) that contingently requires the Company to make payments (either in cash, financial instruments, other assets, shares of its stock or provision of services) to a third party based on (a) changes in an underlying interest rate, foreign exchange rate, equity or commodity instrument, index or other variable, that is related to an asset, a liability or an equity security of the counterparty, (b) failure of another party to perform under an obligating agreement or (c) failure of another third party to pay its indebtedness when due.

 

Financial Guarantees

 

The Company has provided no significant financial guarantees to third parties.

 

Product Warranties

 

The Company’s accrual for product warranties, that was recorded as part of accrued liabilities in the condensed consolidated balance sheets is less than $0.1 million at March 31, 2017 and December 31, 2016, respectively.

 

Director/Officer Indemnifications

 

The Company’s General By-law contains an indemnification of its directors/officers, former directors/officers and persons who have acted at its request to be a director/officer of an entity in which the Company is a shareholder or creditor, to indemnify them, to the extent permitted by the Canada Business Corporations Act, against expenses (including legal fees), judgments, fines and any amounts actually and reasonably incurred by them in connection with any action, suit or proceeding in which the directors and/or officers are sued as a result of their service, if they acted honestly and in good faith with a view to the best interests of the Company. The nature of the indemnification prevents the Company from making a reasonable estimate of the maximum potential amount it could be required to pay to counterparties. The Company has purchased directors’ and officers’ liability insurance. No amount has been accrued in the condensed consolidated balance sheet as at March 31, 2017 and December 31, 2016 with respect to this indemnity.

 

Other Indemnification Agreements

 

In the normal course of the Company’s operations, the Company provides indemnifications to counterparties in transactions such as: theater system lease and sale agreements and the supervision of installation or servicing of the theater systems; film production, exhibition and distribution agreements; real property lease agreements; and employment agreements. These indemnification agreements require the Company to compensate the counterparties for costs incurred as a result of litigation claims that may be suffered by the counterparty as a consequence of the transaction or the Company’s breach or non-performance under these agreements. While the terms of these indemnification agreements vary based upon the contract, they normally extend for the life of the agreements. A small number of agreements do not provide for any limit on the maximum potential amount of indemnification; however, virtually all of the Company’s system lease and sale agreements limit such maximum potential liability to the purchase price of the system. The fact that the maximum potential amount of indemnification required by the Company is not specified in some cases prevents the Company from making a reasonable estimate of the maximum potential amount it could be required to pay to counterparties. Historically, the Company has not made any significant payments under such indemnifications and no amounts have been accrued in the condensed consolidated financial statements with respect to the contingent aspect of these indemnities.

 

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Condensed Consolidated Statements of Operations Supplemental Information
3 Months Ended
Mar. 31, 2017
Basis of Presentation and Condensed Consolidated Statements of Operations Supplemental Information [Abstract]  
Condensed Consolidated Statements of Operations Supplemental Information

9.  Condensed Consolidated Statements of Operations Supplemental Information

 

  1. Selling Expenses

 

The Company defers direct selling costs such as sales commissions and other amounts related to its sale and sales-type lease arrangements until the related revenue is recognized. These costs and direct advertising and marketing, included in costs and expenses applicable to revenues-equipment and product sales, totaled $0.4 million for the three months ended March 31, 2017 (2016 — $0.7 million).

 

Film exploitation costs, including advertising and marketing, totaled $2.4 million for the three months ended March 31, 2017 (2016 — $3.0 million) and are recorded in costs and expenses applicable to revenues-services as incurred.

 

Commissions are recognized as costs and expenses applicable to revenues-rentals in the month they are earned. These costs totaled $0.1 million for the three months ended March 31, 2017 (2016 — recovery of less than $0.1 million). Direct advertising and marketing costs for each theater are charged to costs and expenses applicable to revenues-rentals as incurred. These costs totaled an expense of $0.3 million for the three months ended March 31, 2017 (2016 — less than $0.1 million).

 

  1. Foreign Exchange

 

Included in selling, general and administrative expenses for the three months ended March 31, 2017 is a loss of less than $0.1 million (2016 — gain of $0.5 million), for net foreign exchange gains/losses related to the translation of foreign currency denominated monetary assets and liabilities. See note 15(d) for additional information.

 

  1. Collaborative Arrangements

 

Joint Revenue Sharing Arrangements

 

In a joint revenue sharing arrangement, the Company receives a portion of a theater’s box-office and concession revenues, and in some cases a small upfront or initial payment, in exchange for placing a theater system at the theater operator’s venue. Under joint revenue sharing arrangements, the customer has the ability and the right to operate the hardware components or direct others to operate them in a manner determined by the customer. The Company’s joint revenue sharing arrangements are typically non-cancellable for 10 years or longer with renewal provisions. Title to equipment under joint revenue sharing arrangements generally does not transfer to the customer. The Company’s joint revenue sharing arrangements do not contain a guarantee of residual value at the end of the term. The customer is required to pay for executory costs such as insurance and taxes and is required to pay the Company for maintenance and extended warranty throughout the term. The customer is responsible for obtaining insurance coverage for the theater systems commencing on the date specified in the arrangement’s shipping terms and ending on the date the theater systems are delivered back to the Company.

 

The Company has signed joint revenue sharing agreements with 46 exhibitors for a total of 997 theater systems, of which 649 theaters were operating as at March 31, 2017, the terms of which are similar in nature, rights and obligations. The accounting policy for the Company’s joint revenue sharing arrangements is disclosed in note 2(m) of the Company’s 2016 Form 10-K.

 

Amounts attributable to transactions arising between the Company and its customers under joint revenue sharing arrangements are included in Equipment and Product Sales and Rentals revenue and for the three months ended March 31, 2017 amounted to $15.7 million (2016 — $23.4 million).

 

IMAX DMR

 

In an IMAX DMR arrangement, the Company transforms conventional motion pictures into the Company’s large screen format, allowing the release of Hollywood content to the global IMAX theater network. In a typical IMAX DMR film arrangement, the Company receives a percentage, which in recent years has averaged approximately 12.5%, of net box-office receipts, defined as gross box office receipts less applicable sales taxes, of any commercial films released in the IMAX theater network outside of Greater China from the applicable film studio for the conversion of the film to the IMAX DMR format and for access to the Company’s premium distribution platform. Within Greater China, the Company receives a lower percentage of box-office receipts for certain films. The Company does not typically hold distribution rights or the copyright to those films.

 

For the three months ended March 31, 2017, the majority of IMAX DMR revenue was earned from the exhibition of 18 IMAX DMR films (201617) throughout the IMAX theater network. The accounting policy for the Company’s IMAX DMR arrangements is disclosed in note 2(m) of the Company’s 2016 Form 10-K.

 

Amounts attributable to transactions arising between the Company and its customers under IMAX DMR arrangements are included in Services revenue and for the three months ended March 31, 2017 amounted to $23.4 million (2016 — $29.8 million).

 

Co-Produced Film Arrangements

 

In certain film arrangements, the Company co-produces a film with a third party whereby the third party retains the copyright and rights to the film and the Company obtains exclusive theatrical distribution rights to the film. Under these arrangements, both parties contribute funding to the Company’s wholly-owned production company for the production of the film and for associated exploitation costs. Clauses in the film arrangements generally provide for the third party to take over the production of the film if the cost of the production exceeds its approved budget or if it appears as though the film will not be delivered on a timely basis.

 

The accounting policies relating to co-produced film arrangements are disclosed in notes 2(a) and 2(m) of the Company’s 2016 Form 10-K.

 

As at March 31, 2017, the Company has one significant co-produced film arrangement which represents the VIE total assets and liabilities balance of $0.4 million and four other co-produced film arrangements, the terms of which are similar.

 

For the three months ended March 31, 2017, amounts totaling $0.5 million (2016 — $0.2 million) attributable to transactions between the Company and other parties involved in the production of the films have been included in cost and expenses applicable to revenues-services.

XML 28 R17.htm IDEA: XBRL DOCUMENT v3.7.0.1
Condensed Consolidated Statements of Cash Flows Supplemental Information
3 Months Ended
Mar. 31, 2017
Condensed Consolidated Statements of Cash Flows Supplemental Information [Abstract]  
Condensed Consolidated Statements of Cash Flows Supplemental Information

10.  Condensed Consolidated Statements of Cash Flows Supplemental Information

 

  1.   Changes in other non-cash operating assets and liabilities are comprised of the following:

 

 

Three Months Ended

 

March 31,

 

 

2017

 

 

2016

Decrease (increase) in:

 

 

 

 

 

Accounts receivable

$ 

161 

 

$ 

6,070 

Financing receivables

 

1,763 

 

 

(1,748)

Inventories

 

(3,312)

 

 

(5,994)

Prepaid expenses

 

(1,421)

 

 

(2,345)

Commissions and other deferred selling expenses

 

(228)

 

 

34 

Insurance recoveries

 

(96)

 

 

132 

Other assets

 

100 

 

 

(441)

Increase (decrease) in:

 

 

 

 

 

Accounts payable

 

(6,041)

 

 

(2,470)

Accrued and other liabilities

 

(18,825)

 

 

(12,023)

Deferred revenue

 

10,619 

 

 

(2,998)

 

$ 

(17,280)

 

$ 

(21,783)

 

  1. Cash payments made on account of:

 

 

Three Months Ended

 

March 31,

 

 

2017

 

 

2016

Income taxes

$ 

7,270 

 

$ 

12,051 

Interest

$ 

190 

 

$ 

180 

 

  1.   Depreciation and amortization are comprised of the following:

 

 

Three Months Ended

 

March 31,

 

 

2017

 

 

2016

Film assets

$ 

3,805 

 

$ 

3,356 

Property, plant and equipment

 

 

 

 

 

Joint revenue sharing arrangements

 

4,246 

 

 

3,738 

Other property, plant and equipment

 

2,760 

 

 

2,326 

Other intangible assets

 

926 

 

 

672 

Other assets

 

220 

 

 

205 

Deferred financing costs

 

131 

 

 

141 

 

$ 

12,088 

 

$ 

10,438 

 


  1. Write-downs, net of recoveries, are comprised of the following:

 

 

Three Months Ended

 

March 31,

 

 

2017

 

 

2016

 

 

 

 

 

 

Accounts receivable

$ 

185 

 

$ 

126 

Inventories

 

- 

 

 

184 

Film assets(1)

 

3,416 

 

 

- 

Property, plant and equipment(2)

 

409 

 

 

329 

Other intangible assets

 

- 

 

 

9 

 

$ 

4,010 

 

$ 

648 

 

 

 

 

 

 

__________

(1)

The Company reviewed the carrying value of certain documentary film assets as a result of lower than expected revenue being generated during the period and revised expectations for future revenues based on the latest information available. An impairment of $3.4 million was recorded based on the carrying value of these documentary films as compared to the related estimated future box office and revenues that would ultimately be generated by these films. 

(2)

The Company recognized asset impairment charges of against property, plant and equipment after an assessment of the carrying value of certain assets in light of their future expected cash flows.

 

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Income Taxes
3 Months Ended
Mar. 31, 2017
Income Taxes [Abstract]  
Income Taxes

11. Income Taxes

 

  1. Income Taxes

 

The Company’s effective tax rate differs from the statutory tax rate and varies from year to year primarily as a result of permanent differences, investment and other tax credits, the provision for income taxes at different rates in foreign and other provincial jurisdictions, enacted statutory tax rate increases or reductions in the year, changes due to foreign exchange, changes in the Company’s valuation allowance based on the Company’s recoverability assessments of deferred tax assets, and favorable or unfavorable resolution of various tax examinations. During the quarter ended March 31, 2017, there was no change in the Company’s estimates of the recoverability of its deferred tax assets based on an analysis of both positive and negative evidence including projected future earnings.

 

As at March 31, 2017, the Company had net deferred income tax assets after valuation allowance of $29.5 million (December 31, 2016 — $20.8 million), which consists of a gross deferred income tax asset of $29.7 million (December 31, 2016 — $21.0 million), against which the Company is carrying a $0.2 million valuation allowance (December 31, 2016 — $0.2 million).

 

For the quarter ended March 31, 2017, the Company recorded a provision for income taxes of $0.1 million. Included in the provision for income taxes was a $0.3 million recovery for windfall tax benefits, offset by a $0.6 million provision related to the portion of losses applicable to non-controlling interests in the Company’s Film Fund.

 

The Company has elected to early adopt ASU 2016-16 related to income taxes during the quarter ended March 31, 2017. The impact from the adoption was reflected in the Company’s condensed consolidated financial statements on a modified retrospective basis resulting in an increase to Accumulated deficit of $8.3 million, a decrease to Other assets of $14.8 million, an increase to Deferred taxes of $7.9 million and an increase to Accrued and other liabilities of $1.4 million.

 

The Company early adopted ASU 2016-09, related to stock-based compensation, in June 2016. ASU 2016-09 eliminates additional paid in capital ("APIC") pools and requires excess tax benefits and tax deficiencies to be recorded in the condensed consolidated statements of operations when the awards vest or are settled. In addition, modified retrospective adoption of ASC 2016-09 eliminates the requirement that excess tax benefits be realized before they can be recognized. The Company has recorded an adjustment of $0.9 million to Deferred income taxes related to the impact from adoption of the provisions related to forfeiture rates. See note 12 for further discussion of the impact from the adoption of ASU 2016-09.

 

  1. Income Tax Effect on Other Comprehensive Income

 

The income tax expense included in the Company’s other comprehensive income are related to the following items:

 

 

 

Three Months Ended

 

 

March 31,

 

 

2017

 

2016

 

 

 

 

 

 

 

Unrealized change in cash flow hedging instruments

 

$ 

(82)

 

$ 

(574)

Realized change in cash flow hedging instruments upon settlement

 

 

(75)

 

 

(332)

Amortization of actuarial loss on postretirement benefit plan

 

 

- 

 

 

(5)

 

 

$ 

(157)

 

$ 

(911)

 

 

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Capital Stock
3 Months Ended
Mar. 31, 2017
Capital Stock [Abstract]  
Capital Stock

12. Capital Stock

 

  1. Stock-Based Compensation

 

The compensation costs recorded in the condensed consolidated statements of operations for the Company’s stock-based compensation plans were $5.3 million for the three months ended March 31, 2017 (2016 —$5.9 million).

 

As at March 31, 2017, the Company has reserved a total of 11,226,190 (December 31, 2016 12,012,572) common shares for future issuance under the Company’s Stock Option Plan (“SOP”) and the IMAX Corporation Amended and Restated Long-Term Incentive Plan (“IMAX LTIP”). Of the common shares reserved for issuance, there are options in respect of 5,268,603 common shares and restricted share units (“RSUs”) in respect of 1,275,421 common shares outstanding at March 31, 2017. At March 31, 2017, options in respect of 3,945,034 common shares were vested and exercisable.

 

The Company early adopted ASU 2016-09, related to stock-based compensation, in June 2016. ASU 2016-09 eliminates the requirement to estimate and apply a forfeiture rate to reduce stock compensation expense during the vesting period and, instead, account for forfeitures as they occur. ASU 2016-09 also requires the presentation of employee taxes as a financing activity on the condensed consolidated statement of cash flows. Where applicable, comparative figures have been restated as if the adoption of ASU 2016-09 occurred on January 1, 2016.

 

Stock Option Plan

 

The Company recorded an expense of $1.3 million for the three months ended March 31, 2017 (2016 — $2.4 million) related to stock option grants issued to employees and directors in the IMAX LTIP and SOP plans. An income tax benefit is recorded in the condensed consolidated statements of operations of $0.4 million for the three months ended March 31, 2017 (2016 — $1.3 million), for these costs.

 

The weighted average fair value of all stock options granted to employees and directors for the three months ended March 31, 2017 at the grant date was $9.08 per share (2016 — $8.55 per share). The following assumptions were used to estimate the average fair value of the stock options:

 

 

 

Three Months

 

 

Ended March 31,

 

 

2017

 

2016

 

 

 

 

 

Average risk-free interest rate

 

2.40%

 

1.72%

Expected option life (in years)

 

4.71 - 5.83

 

4.79 - 4.88

Expected volatility

 

30%

 

30%

Dividend yield

 

0%

 

0%

 

Stock options to Non-Employees

 

There were no common share options issued to non-employees during the three months ended March 31, 2017 and 2016.

 

As at March 31, 2017, non-employee stock options outstanding amounted to 17,000 stock options (201638,750) with a weighted average exercise price of $29.64 per share (2016 — $26.79 per share). 17,000 stock options (2016 26,325) were exercisable with an average weighted exercise price of $29.64 per share (2016 — $26.99 per share) and the vested stock options have an aggregate intrinsic value of $0.1 million (2016 — $0.1 million).

 

For the three months ended March 31, 2017, the Company recorded an expense of less than $0.1 million (2016 — recovery of less than $0.1 million) to selling, general and administrative expenses related to the non-employee stock options. There were no liabilities accrued for non-employee stock options as at March 31, 2017 (December 31, 2016less than $0.1 million).

 

China Long Term Incentive Plan (“China LTIP”)

 

The China LTIP was adopted by IMAX China Holding, Inc. (“IMAX China”), a subsidiary of the Company, in October 2012.  Each stock option (“China Option”), RSU or cash settled share-based payment (“CSSBP”) issued under the China LTIP represents an opportunity to participate economically in the future growth and value creation of IMAX China.

 

In connection with the IMAX China IPO and in accordance with the China LTIP, IMAX China adopted a post-IPO share option plan and a post-IPO restricted stock unit plan. Pursuant to these plans, IMAX China issued additional China Options and China LTIP Restricted Share Units (“China RSUs”) for the three months ended March 31, 2017.

 

During the three months ended March 31, 2017, the Company recorded an expense related to the China Options, China RSUs and CSSBPs of $0.2 million, $0.1 million and $0.1 million (2016 — $0.2 million, $nil and $0.1 million). The liability recognized with respect to the CSSBPs as at March 31, 2017 was $0.4 million (December 31, 2016 — $0.3 million).

 

Stock Option Summary

 

The following table summarizes certain information in respect of option activity under the SOP and IMAX LTIP for the three month periods ended March 31:

 

 

 

 

 

Weighted Average Exercise

 

Number of Shares

 

 

Price Per Share

 

2017

 

2016

 

2017

 

2016

 

 

 

 

 

 

 

 

 

 

Options outstanding, beginning of period

5,190,542 

 

4,805,244 

 

$ 

28.35 

 

$ 

27.03 

Granted

679,030 

 

323,925 

 

 

32.16 

 

 

31.85 

Exercised

(584,589)

 

(43,750)

 

 

22.38 

 

 

16.91 

Forfeited

(16,380)

 

(2,042)

 

 

31.69 

 

 

31.85 

Options outstanding, end of period

5,268,603 

 

5,083,377 

 

 

29.49 

 

 

27.42 

Options exercisable, end of period

3,945,034 

 

3,507,573 

 

 

28.68 

 

 

26.52 

 

No stock options were cancelled from its IMAX LTIP or SOP surrendered by Company employees during the three months ended March 31, 2017 and 2016.

 

As at March 31, 2017, options that are exercisable have an intrinsic value of $21.3 million and a weighted average remaining contractual life of 4.6 years. The intrinsic value of options exercised in the three months ended March 31, 2017 was $6.0 million (2016 — $0.6 million).

 

Restricted Share Units

 

RSUs have been granted to employees, consultants and directors under the IMAX LTIP. Each RSU represents a contingent right to receive one common share and is the economic equivalent of one common share. The grant date fair value of each RSU is equal to the share price of the Company’s stock at the grant date. The Company recorded an expense of $3.4 million for the three months ended March 31, 2017 (2016 — $3.1 million), related to RSU grants issued to employees and directors in the plan. The Company did not issue any RSU grants to certain advisors and strategic partners of the Company during the three months ended March 31, 2017 and 2016.

 

During the three months ended March 31, 2017, in connection with the vesting of RSUs, the Company settled 201,793 (2016190,298) common shares to IMAX LTIP participants, of which 7,127 (20165,563) common shares, net of shares withheld for tax withholdings of 4,582 (20163,508) were issued from treasury and 190,084 (2016181,227) common shares were settled through the open market purchases by the IMAX LTIP trustee.

 

Total stock-based compensation expense related to non-vested RSUs not yet recognized at March 31, 2017 and the weighted average period over which the awards are expected to be recognized is $37.1 million and 2.6 years, respectively (2016 — $32.0 million and 2.7 years, respectively). The Company’s actual tax benefits realized for the tax deductions related to the vesting of RSUs was $1.9 million for the three months ended March 31, 2017 (2016 — $1.9 million).

 

Historically, RSUs granted under the IMAX LTIP have vested between immediately and four years from the grant date. In connection with the amendment and restatement of the IMAX LTIP at the Company’s annual and special meeting of shareholders on June 6, 2016, the IMAX LTIP plan was amended to impose a minimum one-year vesting period on future RSU grants, with a carve-out for 300,000 RSUs that may vest on a shorter schedule. During 2016, 39,726 RSUs with a vesting period of less than one year were issued from the carve-out of 300,000 RSUs under the amended IMAX LTIP plan. There were no RSUs issued during the three months ended March 31, 2017 from the remaining carve-out balance of 260,274 RSUs. Vesting of the RSUs is subject to continued employment or service with the Company.

 

The following table summarizes certain information in respect of RSU activity under the IMAX LTIP for the three months ended March 31:

 

 

 

Number of Awards

 

Weighted Average Grant Date Fair Value Per Share

 

 

2017

 

2016

 

 

2017

 

 

2016

 

 

 

 

 

 

 

 

 

 

 

RSUs outstanding, beginning of period

 

1,124,180 

 

973,637 

 

$ 

33.01 

 

$ 

32.27 

Granted

 

373,540 

 

351,584 

 

 

32.45 

 

 

31.85 

Vested and settled

 

(201,793)

 

(190,298)

 

 

31.25 

 

 

29.47 

Forfeited

 

(20,506)

 

(3,092)

 

 

32.31 

 

 

32.43 

RSUs outstanding, end of period

 

1,275,421 

 

1,131,831 

 

 

33.13 

 

 

32.61 

 

Issuer Purchases of Equity Securities

 

On June 16, 2014, the Company’s board of directors approved a new $150.0 million share repurchase program for shares of the Company’s common stock, which program was amended on April 20, 2016 to increase the aggregate purchase allowance to $200.0 million. Purchases under the program commenced during the third quarter of 2014, and the program expires on June 30, 2017. The repurchases may be made either in the open market or through private transactions, subject to market conditions, applicable legal requirements and other relevant factors. The Company has no obligation to repurchase shares and the share repurchase program may be suspended or discontinued by the Company at any time.

 

 During the three months ended March 31, 2017, the Company did not repurchase any common shares. During the three months ended March 31, 2016, the Company repurchased 1,446,418 common shares at an average price of $30.82 per share. The retired shares were purchased for $44.6 million. The average carrying value of the stock retired was deducted from common stock and the remaining excess over the average carrying value of stock was charged to accumulated deficit. The Company has $46.3 million available under its approved repurchase program.

 

The total number of shares purchased during the three months ended March 31, 2017 does not include any shares purchased in the administration of employee share-based compensation plans (which amounted to 368,624 (2016 — 181,277) common shares, at an average price of $32.38 (2016 — $32.28) per share).

 

As at March 31, 2017, the IMAX LTIP trustee held 23,706 (December 31, 2016 — 66,093) shares purchased for $0.8 million (December 31, 2016 — $2.0 million) in the open market to be issued upon the settlement of RSUs and stock options. The shares held with the trustee are recorded at cost and are reported as a reduction against capital stock on the condensed consolidated balance sheet.

 

Canadian Securities Law Matters

 

The Company has received an exemption decision issued by the Ontario Securities Commission, dated April 1, 2016, for relief from the formal issuer bid requirements under Canadian securities laws. The exemption decision permits the Company to repurchase up to 10% of its outstanding common shares in any twelve-month period through the facilities of the New York Stock Exchange (“NYSE”) under repurchase programs that the Company may implement from time to time. The Canadian securities laws regulate an issuer’s ability to make repurchases of its own securities.

 

The Company sought the exemption so that it can make repurchases under its repurchase programs in excess of the maximum allowable in reliance on the existing “other published markets” exemption from the formal issuer bid requirements available under Canadian securities laws. The “other published markets” exemption caps the Company’s ability to repurchase its securities through the facilities of the NYSE at 5% of the issuer’s outstanding securities during any 12-month period.

 

The conditions of the exemption decision are as follows: (i) any repurchases made in reliance on the exemption decision must be permitted under, and part of repurchase programs established and conducted in accordance with, U.S. securities laws and NYSE rules, (ii) the aggregate number of common shares acquired in reliance on the exemption decision by the Company and any person or company acting jointly or in concert with the Company within any 12 months does not exceed 10% of the outstanding common shares at the beginning of the 12-month period, (iii) the common shares are not listed and posted for trading on an exchange in Canada, (iv) the exemption decision applies only to the acquisition of common shares by the Company within 36 months of the date of the decision, and (v) prior to purchasing common shares in reliance on the exemption decision, the Company discloses the terms of the exemption decision and the conditions applicable thereto in a press release that is issued on SEDAR and includes such language as part of the news release required to be issued in accordance with the “other published markets exemption” in respect of any repurchase program that may be implemented by the Company.

 

  1. Net Income Per Share

 

Reconciliations of the numerator and denominator of the basic and diluted per-share computations are comprised of the following:

 

 

 

Three Months

 

 

Ended March 31,

 

 

2017

 

2016

 

 

 

 

 

 

 

Net income applicable to common shareholders

 

$ 

75 

 

$ 

11,302 

Weighted average number of common shares (000's):

 

 

 

 

 

 

Issued and outstanding, beginning of period

 

 

66,160 

 

 

69,673 

Weighted average number of shares issued (repurchased) during the period

 

 

203 

 

 

(294)

Weighted average number of shares used in computing basic income per share

 

 

66,363 

 

 

69,379 

Assumed exercise of stock options and RSUs, net of shares assumed repurchased

 

 

817 

 

 

741 

Weighted average number of shares used in computing diluted income per share

 

 

67,180 

 

 

70,120 

 

The calculation of diluted earnings per share excludes 1,785,013 shares that are issuable upon the vesting of 171,673 RSUs and the exercise of 1,613,340 stock options for the three months ended March 31, 2017, as the impact would be antidilutive. The calculation of diluted earnings per share excludes 3,245,033 shares that are issuable upon the vesting of 615,028 RSUs and the exercise of 2,630,005 stock options for the three months ended March 31, 2016, as the impact would be antidilutive.

 

As part of the adoption of ASU 2016-09, the excess tax benefit is no longer included in the calculation of diluted shares under the treasury stock method.


  1. Shareholder’s Equity Attributable to Common Shareholders

 

The following summarizes the movement of Shareholders’ Equity attributable to common shareholders for the three months ended March 31, 2017:

 

Balance as at December 31, 2016

 

$ 

562,012 

Net income attributable to common shareholders

 

 

75 

Retrospective adjustment related to intra-entity transfers (notes 2 and 11)

 

 

(8,314)

Adjustments to capital stock:

 

 

 

Cash received from the issuance of common shares

 

 

13,082 

Issuance of common shares for vested RSUs

 

 

273 

Fair value of stock options exercised at the grant date

 

 

3,270 

Share held in treasury

 

 

1,160 

Adjustments to other equity:

 

 

 

Employee stock options granted

 

 

1,596 

Non-employee stock options granted and vested

 

 

17 

Fair value of stock options exercised at the grant date

 

 

(3,270)

RSUs granted

 

 

3,554 

RSUs vested

 

 

(6,506)

Stock exercised from treasury shares

 

 

(7,025)

Adjustments to accumulated other comprehensive loss:

 

 

 

Unrealized net gain from cash flow hedging instruments

 

 

313 

Realization of cash flow hedging net loss upon settlement

 

 

285 

Foreign currency translation adjustments

 

 

312 

Tax effect of movement in other comprehensive income

 

 

(157)

Balance as at March 31, 2017

 

$ 

560,677 

 

XML 31 R20.htm IDEA: XBRL DOCUMENT v3.7.0.1
Segmented Information
3 Months Ended
Mar. 31, 2017
Segmented Information [Abstract]  
Segmented Information

13.  Segmented Information

 

Management, including the Company’s Chief Executive Officer (“CEO”) who is the Company’s Chief Operating Decision Maker (as defined in the Segment Reporting Topic of the FASB ASC), assesses segment performance based on segment revenues, gross margins and film performance. Selling, general and administrative expenses, research and development costs, amortization of intangibles, receivables provisions (recoveries), write-downs net of recoveries, interest income, interest expense and tax (provision) recovery are not allocated to the segments.

 

In the first quarter of 2017, modifications have been made to the CEO’s reporting package to move away from the Company’s historical two primary groups – IMAX Theater Systems and Film – and align with the way in which the CODM manages the business. The new structure is expected to assist users of the financial statements with an enhanced understanding of how management views the business, and the drivers behind the Company’s performance. Certain of the prior period’s figures have been reclassified to conform to the current period’s presentation.

 

The Company has identified new business as an additional reportable segment in the first quarter of 2017. The Company now has the following eight reportable segments: IMAX systems; IMAX DMR; joint revenue sharing arrangements; theater system maintenance; film distribution; film post-production; new business; and other.

 

The Company’s reportable segments are now under four primary groups identified by nature of product sold or service provided: (1) Network Business, representing variable revenue generated by box-office results and which includes the reportable segment of IMAX DMR and contingent rent from the joint revenue sharing arrangements and IMAX systems segments; (2) Theater Business, representing revenue generated by the sale and installation of theater systems and maintenance services, primarily related to the IMAX Systems and Theater System Maintenance reportable segments, and also includes fixed hybrid revenues and upfront installation costs from the joint revenue sharing arrangements segment and after-market sales of projection system parts and 3D glasses from the other segment; (3) New Business, which includes content licensing and distribution fees associated with the Company’s original content investments, virtual reality initiatives, IMAX Home Entertainment, and other business initiatives that are in the development and/or start-up phase, and (4) Other; which includes the film post-production and distribution segments and certain IMAX theaters that the Company owns and operates, camera rentals and other miscellaneous items from the other segment. The Company is presenting information at a disaggregated level to provide more relevant information to readers, as permitted by the standard. The accounting policies of the segments are the same as those described in note 2 to the audited consolidated financial statements included in the Company’s 2016 Form 10-K. In addition, refer to Item 2 of the Company’s Form 10-Q for additional information regarding the four primary groups mentioned above.

 

Transactions between the IMAX DMR segment and the film post-production segment are valued at exchange value. Inter-segment profits are eliminated upon consolidation, as well as for the disclosures below.


 

Three Months Ended

 

March 31,

 

 

2017

 

 

2016

Revenue(1)

 

 

 

 

 

Network business

 

 

 

 

 

IMAX DMR

$ 

23,408 

 

$ 

29,805 

Joint revenue sharing arrangements – contingent rent

 

15,233 

 

 

21,315 

IMAX systems – contingent rent

 

688 

 

 

1,187 

 

 

39,329 

 

 

52,307 

 

 

 

 

 

 

Theater business

 

 

 

 

 

IMAX systems

 

9,527 

 

 

20,674 

Joint revenue sharing arrangements – fixed fees

 

470 

 

 

2,070 

Theater system maintenance

 

11,045 

 

 

9,826 

Other theater

 

2,165 

 

 

2,487 

 

 

23,207 

 

 

35,057 

 

 

 

 

 

 

New business

 

1,280 

 

 

- 

 

 

 

 

 

 

Other

 

 

 

 

 

Film post-production

 

3,072 

 

 

2,407 

Film distribution

 

512 

 

 

363 

Other

 

1,257 

 

 

1,994 

 

 

4,841 

 

 

4,764 

 

 

 

 

 

 

Total

$ 

68,657 

 

$ 

92,128 

 

 

 

 

 

 

 

 

 

 

 

 

Gross Margin

 

 

 

 

 

Network business

 

 

 

 

 

IMAX DMR(2)

$ 

17,467 

 

$ 

22,823 

Joint revenue sharing arrangements – contingent rent(2)

 

10,250 

 

 

17,487 

IMAX systems – contingent rent

 

688 

 

 

1,187 

 

 

28,405 

 

 

41,497 

 

 

 

 

 

 

Theater business

 

 

 

 

 

IMAX systems(2)

 

5,741 

 

 

6,648 

Joint revenue sharing arrangements – fixed fees(2)

 

88 

 

 

504 

Theater system maintenance

 

4,249 

 

 

3,439 

Other theater

 

430 

 

 

(32)

 

 

10,508 

 

 

10,559 

 

 

 

 

 

 

New business

 

(337)

 

 

(225)

 

 

 

 

 

 

Other

 

 

 

 

 

Film post-production

 

1,101 

 

 

1,249 

Film distribution(2)

 

(3,764)

 

 

(679)

Other

 

(142)

 

 

(225)

 

 

(2,805)

 

 

345 

 

 

 

 

 

 

Total

$ 

35,771 

 

$ 

52,176 

 


___________

(1)

The Company’s largest customer represented 17.2% of total revenues for the three months ended March 31, 2017 (201616.0%).

(2)

IMAX DMR segment margins include marketing costs of $2.6 million for the three months ended March 31, 2017 (2016 — $2.3 million). Joint revenue sharing arrangements segment margins include advertising, marketing and commission costs of $0.4 million for the three months ended March 31, 2017 (2016 — $0.1 million). IMAX systems segment margins include marketing and commission costs of $0.4 million for the three months ended March 31, 2017 (2016 — $0.5 million). Film distribution segment margins include a marketing recovery of $0.2 million for the three months ended March 31, 2017 (2016 — expense of $0.7 million).

 

Geographic Information

 

Revenue by geographic area is based on the location of the customer. Revenue related to IMAX DMR is presented based upon the geographic location of the theaters that exhibit the re-mastered films. IMAX DMR revenue is generated through contractual relationships with studios and other third parties and these may not be in the same geographical location as the theater.

 

 

 

Three Months Ended

 

 

March 31,

 

 

2017

 

 

2016

Revenue

 

 

 

 

 

 

United States

 

$ 

25,198 

 

$ 

35,544 

Canada

 

 

3,282 

 

 

7,077 

Greater China

 

 

18,590 

 

 

24,939 

Asia (excluding Greater China)

 

 

8,429 

 

 

5,559 

Western Europe

 

 

5,813 

 

 

11,486 

Russia & the CIS

 

 

3,183 

 

 

1,692 

Latin America

 

 

1,654 

 

 

3,527 

Rest of the World

 

 

2,508 

 

 

2,304 

Total

 

$ 

68,657 

 

$ 

92,128 

 

No single country in the Rest of the World, Western Europe, Latin America and Asia (excluding Greater China) classifications comprises more than 10% of the total revenue.

 

XML 32 R21.htm IDEA: XBRL DOCUMENT v3.7.0.1
Employees Pension and Postretirement Benefits
3 Months Ended
Mar. 31, 2017
Employees Pension and Postretirement Benefits [Abstract]  
Employees Pension and Postretirement Benefits

14.  Employee's Pension and Postretirement Benefits

 

  1. Defined Benefit Plan

 

The Company has an unfunded U.S. defined benefit pension plan (the “SERP”) covering Richard L. Gelfond, CEO of the Company.

 

The following table provides disclosure of the pension obligation for the SERP:

 

 

March 31,

 

December 31,

 

2017

 

2016

Projected benefit obligation:

 

 

 

 

 

Obligation, beginning of period

$ 

19,580 

 

$ 

19,478 

Interest cost

 

107 

 

 

261 

Actuarial gain

 

- 

 

 

(159)

Obligation, end of period and unfunded status

$ 

19,687 

 

$ 

19,580 

 

The following table provides disclosure of pension expense for the SERP:

 

 

 

Three Months Ended

 

 

March 31,

 

 

2017

 

2016

Interest cost

 

$ 

107 

 

$ 

65 

Pension expense

 

$ 

107 

 

$ 

65 

 

No contributions are expected to be made for the SERP during the remainder of 2017. The Company expects interest costs of $0.3 million to be recognized as a component of net periodic benefit cost during the remainder of 2017.

 

The accumulated benefit obligation for the SERP was $19.7 million at March 31, 2017 (December 31, 2016 — $19.6 million).

 

The following benefit payments are expected to be made as per the current SERP assumptions and the terms of the SERP in each of the next 5 years, and in the aggregate:

 

2017 (nine months remaining)

$ 

- 

2018

 

- 

2019

 

- 

2020

 

21,115 

2021

 

- 

Thereafter

 

- 

 

$ 

21,115 

 

The SERP assumptions are that Mr. Gelfond will receive a lump sum payment six months after retirement at the end of the current term of his employment agreement (December 31, 2019), although Mr. Gelfond has not informed the Company that he intends to retire at that time.

 

  1. Defined Contribution Pension Plan

 

The Company also maintains defined contribution plans for its employees, including its executive officers. The Company makes contributions to these plans on behalf of employees in an amount up to 5% of their base salary subject to certain prescribed maximums. During the three months ended March 31, 2017, the Company contributed and expensed an aggregate of $0.3 million (2016$0.4 million) to its Canadian defined contribution plan and an aggregate of $0.2 million (2016$0.2 million) to its defined contribution employee plan under Section 401(k) of the U.S. Internal Revenue Code.

 


In September 2016, the Company entered into a new employment agreement with Greg Foster, CEO of IMAX Entertainment and

Senior Executive Vice President of the Company, which provides for an employment term from July 2, 2016 through July 2, 2019. Under the agreement, the Company agreed to create a deferred compensation plan (the “Retirement Plan”) covering Mr. Foster, and to make a total contribution of $3.2 million over the three-year employment term. The Retirement Plan is subject to a vesting schedule based on continued employment with the Company, such that 25% will vest July 2019; 50% will vest July 2022; 75% will vest July 2025; and Mr. Foster will be 100% vested in July 2027. As at March 31, 2017, the Company had an unfunded benefit obligation recorded of $0.8 million (December 31, 2016 — $0.5 million). The Company has expensed $0.3 million for the three months ended March 31, 2017 (2016 — $nil).

 

  1. Postretirement Benefits - Executives

 

The Company has an unfunded postretirement plan for Mr. Gelfond and Bradley J. Wechsler, Chairman of the Company’s Board of Directors. The plan provides that the Company will maintain health benefits for Messrs. Gelfond and Wechsler until they become eligible for Medicare and, thereafter, the Company will provide Medicare supplement coverage as selected by Messrs. Gelfond and Wechsler. The postretirement benefits obligation as at March 31, 2017 is $0.7 million (December 31, 2016 — $0.6 million). The Company has expensed less than $0.1 million for the three months ended March 31, 2017 (2016 — less than $0.1 million).

 

The following benefit payments are expected to be made as per the current plan assumptions in each of the next 5 years:

 

2017 (nine months remaining)

$ 

21 

2018

 

24 

2019

 

26 

2020

 

33 

2021

 

36 

Thereafter

 

514 

Total

$ 

654 

 

  1. Postretirement Benefits – Canadian Employees

 

The Company has an unfunded postretirement plan for its Canadian employees upon meeting specific eligibility requirements. The Company will provide eligible participants, upon retirement, with health and welfare benefits. The postretirement benefits obligation as at March 31, 2017 is $1.8 million (December 31, 2016 — $1.7 million). The Company has expensed less than $0.1 million for the three months ended March 31, 2017 (2016 — less than $0.1 million).

 

The following benefit payments are expected to be made as per the current plan assumptions in each of the next 5 years:

 

2017 (nine months remaining)

$ 

92 

2018

 

99 

2019

 

105 

2020

 

108 

2021

 

110 

Thereafter

 

1,244 

Total

$ 

1,758 

 

XML 33 R22.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments
3 Months Ended
Mar. 31, 2017
Financial Instruments [Abstract]  
Financial Instruments

15.  Financial Instruments

 

  1. Financial Instruments

 

The Company maintains cash with various major financial institutions. The Company’s cash is invested with highly rated financial institutions.

 

The Company’s accounts receivables and financing receivables are subject to credit risk. The Company’s accounts receivable and financing receivables are concentrated with the theater exhibition industry and film entertainment industry. To minimize the Company’s credit risk, the Company retains title to underlying theater systems leased, performs initial and ongoing credit evaluations of its customers and makes ongoing provisions for its estimate of potentially uncollectible amounts. The Company believes it has adequately provided for related exposures surrounding receivables and contractual commitments.

 

  1. Fair Value Measurements

 

The carrying values of the Company’s cash and cash equivalents, accounts receivable, accounts payable and accrued liabilities due within one year approximate fair values due to the short-term maturity of these instruments. The Company’s other financial instruments are comprised of the following:

 

 

 

As at March 31, 2017

 

 

As at December 31, 2016

 

 

Carrying

 

 

Estimated

 

 

Carrying

 

 

Estimated

 

 

Amount

 

 

Fair Value

 

 

Amount

 

 

Fair Value

Cash and cash equivalents

$ 

190,481 

 

$ 

190,481 

 

$ 

204,759 

 

$ 

204,759 

Net financed sales receivable

$ 

112,682 

 

$ 

113,792 

 

$ 

114,041 

 

$ 

115,014 

Net investment in sales-type leases

$ 

7,808 

 

$ 

8,163 

 

$ 

8,084 

 

$ 

8,372 

Convertible loan receivable

$ 

1,000 

 

$ 

1,000 

 

$ 

1,000 

 

$ 

1,000 

Available-for-sale investment

$ 

1,000 

 

$ 

1,010 

 

$ 

1,000 

 

$ 

1,007 

Foreign exchange contracts — designated forwards

$ 

302 

 

$ 

302 

 

$ 

(296)

 

$ 

(296)

Borrowings under the Playa Vista Loan

$ 

(27,167)

 

$ 

(27,167)

 

$ 

(27,667)

 

$ 

(27,667)

 

Cash and cash equivalents are comprised of cash and interest-bearing investments with original maturity dates of 90 days or less. Cash and cash equivalents are recorded at cost, which approximates fair value (Level 1 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

 

The estimated fair values of the net financed sales receivable and net investment in sales-type leases are estimated based on discounting future cash flows at currently available interest rates with comparable terms (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

 

The estimated fair value of the Company’s convertible loan receivable is based on discounting future cash flows at currently available interest rates with comparable terms (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

 

The fair value of the Company’s available-for-sale investment is determined using quoted prices in active markets (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

 

The fair value of foreign currency derivatives is determined using quoted prices in active markets (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively. These identical instruments are traded on a closed exchange.

 

The carrying value of borrowings under the Playa Vista Loan approximates fair value as the interest rates offered under the Playa Vista Loan are close to March 31, 2017 market rates for the Company for debt of the same remaining maturities (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017.

 

There were no significant transfers between Level 1 and Level 2 during the three months ended March 31, 2017 or 2016. When a determination is made to classify an asset or liability within Level 3, the determination is based upon the significance of the unobservable inputs to the overall fair value measurement. There were no transfers in or out of the Company’s level 3 assets during the three months ended March 31, 2017.

 

  1. Financing Receivables

 

The Company’s net investment in leases and its net financed sale receivables are subject to the disclosure requirements of ASC 310 “Receivables”. Due to differing risk profiles of its net investment in leases and its net financed sales receivables, the Company views its net investment in leases and its net financed sale receivables as separate classes of financing receivables. The Company does not aggregate financing receivables to assess impairment.

 

The Company monitors the credit quality of each customer on a frequent basis through collections and aging analyses. The Company also holds meetings monthly in order to identify credit concerns and whether a change in credit quality classification is required for the customer. A customer may improve in their credit quality classification once a substantial payment is made on overdue balances or the customer has agreed to a payment plan with the Company and payments have commenced in accordance to the payment plan. The change in credit quality indicator is dependent upon management approval.

 

The Company classifies its customers into four categories to indicate the credit quality worthiness of its financing receivables for internal purposes only:

 

Good standing — Theater continues to be in good standing with the Company as the client’s payments and reporting are up-to-date.

 

Credit Watch — Theater operator has begun to demonstrate a delay in payments, and has been placed on the Company's credit watch list for continued monitoring, but active communication continues with the Company. Depending on the size of outstanding balance, length of time in arrears and other factors, transactions may need to be approved by management. These financing receivables are considered to be in better condition than those receivables related to theaters in the "Pre-approved transactions" category, but not in as good of condition as those receivables in "Good standing." 

 

Pre-approved transactions only — Theater operator is demonstrating a delay in payments with little or no communication with the Company. All service or shipments to the theater must be reviewed and approved by management. These financing receivables are considered to be in better condition than those receivables related to theaters in the "All transactions suspended" category, but not in as good of condition as those receivables in "Credit Watch." Depending on the individual facts and circumstances of each customer, finance income recognition may be suspended if management believes the receivable to be impaired.

 

All transactions suspended — Theater is severely delinquent, non-responsive or not negotiating in good faith with the Company. Once a theater is classified as “All transactions suspended” the theater is placed on nonaccrual status and all revenue recognitions related to the theater are stopped.

 


The following table discloses the recorded investment in financing receivables by credit quality indicator:

 

 

As at March 31, 2017

 

As at December 31, 2016

 

Minimum

 

Financed

 

 

 

Minimum

 

Financed

 

 

 

Lease

 

Sales

 

 

 

Lease

 

Sales

 

 

 

Payments

 

Receivables

 

Total

 

Payments

 

Receivables

 

Total

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

In good standing

$ 

7,465 

 

$ 

110,249 

 

$ 

117,714 

 

$ 

7,741 

 

$ 

111,568 

 

$ 

119,309 

Credit Watch

 

- 

 

 

1,683 

 

 

1,683 

 

 

- 

 

 

1,514 

 

 

1,514 

Pre-approved transactions

 

- 

 

 

633 

 

 

633 

 

 

- 

 

 

842 

 

 

842 

Transactions suspended

 

1,015 

 

 

611 

 

 

1,626 

 

 

1,015 

 

 

611 

 

 

1,626 

 

$ 

8,480 

 

$ 

113,176 

 

$ 

121,656 

 

$ 

8,756 

 

$ 

114,535 

 

$ 

123,291 

 

While recognition of finance income is suspended, payments received by a customer are applied against the outstanding balance owed. If payments are sufficient to cover any unreserved receivables, a recovery of provision taken on the billed amount, if applicable, is recorded to the extent of the residual cash received. Once the collectibility issues are resolved and the customer has returned to being in good standing, the Company will resume recognition of finance income.

 

The Company’s investment in financing receivables on nonaccrual status is as follows:

 

 

 

As at March 31, 2017

 

As at December 31, 2016

 

 

Recorded

 

Related

 

Recorded

 

Related

 

 

Investment

 

Allowance

 

Investment

 

Allowance

 

 

 

 

 

 

 

 

 

 

 

 

 

Net investment in leases

 

$ 

1,015 

 

$ 

(672)

 

$ 

1,015 

 

$ 

(672)

Net financed sales receivables

 

 

611 

 

 

(494)

 

 

611 

 

 

(494)

Total

 

$ 

1,626 

 

$ 

(1,166)

 

$ 

1,626 

 

$ 

(1,166)

 

The Company considers financing receivables with aging between 60-89 days as indications of theaters with potential collection concerns. The Company will begin to focus its review on these financing receivables and increase its discussions internally and with the theater regarding payment status. Once a theater’s aging exceeds 90 days, the Company’s policy is to review and assess collectibility on the theater’s past due accounts. Over 90 days past due is used by the Company as an indicator of potential impairment as invoices up to 90 days outstanding could be considered reasonable due to the time required for dispute resolution or for the provision of further information or supporting documentation to the customer.

 


The Company’s aged financing receivables are as follows:

 

 

 

As at March 31, 2017

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Related

 

 

 

 

 

 

 

Recorded

 

 

Accrued

 

 

 

 

 

 

 

Billed

 

Unbilled

 

Total

 

 

 

 

Investment

 

 

and

 

30-89

 

 

 

 

Financing

 

Recorded

 

Recorded

 

Related

 

Net of

 

 

Current

 

Days

 

90+ Days

 

Receivables

 

Investment

 

Investment

 

Allowances

 

Allowances

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net investment in leases

 

$ 

41 

 

$ 

94 

 

$ 

763 

 

$ 

898 

 

$ 

7,582 

 

$ 

8,480 

 

$ 

(672)

 

$ 

7,808 

Net financed sales receivables

 

 

1,884 

 

 

2,379 

 

 

2,879 

 

 

7,142 

 

 

106,035 

 

 

113,176 

 

 

(494)

 

 

112,682 

Total

 

$ 

1,925 

 

$ 

2,473 

 

$ 

3,642 

 

$ 

8,040 

 

$ 

113,617 

 

$ 

121,656 

 

$ 

(1,166)

 

$ 

120,490 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

As at December 31, 2016

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Related

 

 

 

 

 

 

 

Recorded

 

 

Accrued

 

 

 

 

 

 

 

Billed

 

Unbilled

 

Total

 

 

 

 

Investment

 

 

and

 

30-89

 

 

 

 

Financing

 

Recorded

 

Recorded

 

Related

 

Net of

 

 

Current

 

Days

 

90+ Days

 

Receivables

 

Investment

 

Investment

 

Allowances

 

Allowances

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net investment in leases

 

$ 

28 

 

$ 

159 

 

$ 

781 

 

$ 

968 

 

$ 

7,788 

 

$ 

8,756 

 

$ 

(672)

 

$ 

8,084 

Net financed sales receivables

 

 

2,393 

 

 

1,724 

 

 

2,368 

 

 

6,485 

 

 

108,050 

 

 

114,535 

 

 

(494)

 

 

114,041 

Total

 

$ 

2,421 

 

$ 

1,883 

 

$ 

3,149 

 

$ 

7,453 

 

$ 

115,838 

 

$ 

123,291 

 

$ 

(1,166)

 

$ 

122,125 

 

 

The Company’s recorded investment in past due financing receivables for which the Company continues to accrue finance income is as follows:

 

 

 

As at March 31, 2017

 

 

 

 

 

 

 

 

 

 

Related

 

 

 

 

Recorded

 

 

Accrued

 

 

 

 

 

Billed

 

Unbilled

 

 

 

Investment

 

 

and

 

 

 

 

 

Financing

 

Recorded

 

Related

 

Past Due

 

 

Current

 

30-89 Days

 

90+ Days

 

Receivables

 

Investment

 

Allowance

 

and Accruing

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net investment in leases

 

$ 

38 

 

$ 

61 

 

$ 

293 

 

$ 

392 

 

$ 

2,237 

 

$ 

- 

 

$ 

2,629 

Net financed sales receivables

 

 

146 

 

 

968 

 

 

2,280 

 

 

3,394 

 

 

25,876 

 

 

- 

 

 

29,270 

Total

 

$ 

184 

 

$ 

1,029 

 

$ 

2,573 

 

$ 

3,786 

 

$ 

28,113 

 

$ 

- 

 

$ 

31,899 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

As at December 31, 2016

 

 

 

 

 

 

 

 

 

 

Related

 

 

 

 

Recorded

 

 

Accrued

 

 

 

 

 

Billed

 

Unbilled

 

 

 

Investment

 

 

and

 

 

 

 

 

Financing

 

Recorded

 

Related

 

Past Due

 

 

Current

 

30-89 Days

 

90+ Days

 

Receivables

 

Investment

 

Allowance

 

and Accruing

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net investment in leases

 

$ 

- 

 

$ 

54 

 

$ 

244 

 

$ 

298 

 

$ 

1,646 

 

$ 

- 

 

$ 

1,944 

Net financed sales receivables

 

 

284 

 

 

634 

 

 

1,854 

 

 

2,772 

 

 

20,147 

 

 

- 

 

 

22,919 

Total

 

$ 

284 

 

$ 

688 

 

$ 

2,098 

 

$ 

3,070 

 

$ 

21,793 

 

$ 

- 

 

$ 

24,863 

 

The Company considers financing receivables to be impaired when it believes it to be probable that it will not recover the full amount of principal or interest owing under the arrangement. The Company uses its knowledge of the industry and economic trends, as well as its prior experiences to determine the amount recoverable for impaired financing receivables. The following table discloses information regarding the Company’s impaired financing receivables:

 

 

For the Three Months Ended March 31, 2017

 

 

 

 

 

 

 

Average

 

Interest

 

Recorded

 

Unpaid

 

Related

 

Recorded

 

Income

 

Investment

 

Principal

 

Allowance

 

Investment

 

Recognized

Recorded investment for which there is a related allowance:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

$ 

525 

 

$ 

75 

 

$ 

(494)

 

$ 

525 

 

$ 

- 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Recorded investment for which there is no related allowance:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

 

- 

 

 

- 

 

 

- 

 

 

- 

 

 

- 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total recorded investment in impaired loans:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

$ 

525 

 

$ 

75 

 

$ 

(494)

 

$ 

525 

 

$ 

- 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

For the Three Months Ended March 31, 2016

 

 

 

 

 

 

 

Average

 

Interest

 

Recorded

 

Unpaid

 

Related

 

Recorded

 

Income

 

Investment

 

Principal

 

Allowance

 

Investment

 

Recognized

Recorded investment for which there is a related allowance:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

$ 

748 

 

$ 

414 

 

$ 

(643)

 

$ 

748 

 

$ 

- 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Recorded investment for which there is no related allowance:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

 

- 

 

 

- 

 

 

- 

 

 

- 

 

 

- 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total recorded investment in impaired loans:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

$ 

748 

 

$ 

414 

 

$ 

(643)

 

$ 

748 

 

$ 

- 

 

The Company’s activity in the allowance for credit losses for the period and the Company’s recorded investment in financing receivables are as follows:

 

 

Three Months Ended March 31, 2017

 

Three Months Ended March 31, 2016

 

Net Investment

 

Net Financed

 

Net Investment

 

Net Financed

 

in Leases

 

Sales Receivables

 

in Leases

 

Sales Receivables

Allowance for credit losses:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Beginning balance

$ 

672 

 

$ 

494 

 

$ 

672 

 

$ 

568 

Charge-offs

 

- 

 

 

- 

 

 

- 

 

 

- 

Recoveries

 

- 

 

 

- 

 

 

- 

 

 

- 

Provision

 

- 

 

 

- 

 

 

- 

 

 

75 

Ending balance

$ 

672 

 

$ 

494 

 

$ 

672 

 

$ 

643 

 

 

 

 

 

 

 

 

 

 

 

 

Ending balance: individually evaluated for impairment

$ 

672 

 

$ 

494 

 

$ 

672 

 

$ 

643 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Financing receivables:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Ending balance: individually evaluated for impairment

$ 

8,480 

 

$ 

113,176 

 

$ 

10,577 

 

$ 

110,387 

 


  1. Foreign Exchange Risk Management

 

The Company is exposed to market risk from changes in foreign currency rates. A majority portion of the Company’s revenues is denominated in U.S. dollars while a substantial portion of its costs and expenses is denominated in Canadian dollars. A portion of the net U.S. dollar cash flows of the Company is periodically converted to Canadian dollars to fund Canadian dollar expenses through the spot market. In China and Japan the Company has ongoing operating expenses related to its operations in Chinese Renminbi and Japanese yen, respectively. Net cash flows are converted to and from U.S. dollars through the spot market. The Company also has cash receipts under leases denominated in Chinese Renminbi, Japanese yen, Canadian dollars and Euros which are converted to U.S. dollars through the spot market. In addition, because IMAX films generate box-office in 75 different countries, unfavourable exchange rates between applicable local currencies, and the U.S. dollar affect the Company’s reported gross box-office and revenues, further impacting the Company’s results of operations. The Company’s policy is to not use any financial instruments for trading or other speculative purposes.

 

The Company entered into a series of foreign currency forward contracts to manage the Company’s risks associated with the volatility of foreign currencies. Certain of these foreign currency forward contracts met the criteria required for hedge accounting under the Derivatives and Hedging Topic of the FASB ASC at inception, and continue to meet hedge effectiveness tests at March 31, 2017 (the “Foreign Currency Hedges”), with settlement dates throughout 2017 and 2018. Foreign currency derivatives are recognized and measured in the balance sheet at fair value. Changes in the fair value (gains or losses) are recognized in the condensed consolidated statements of operations except for derivatives designated and qualifying as foreign currency cash flow hedging instruments. For foreign currency cash flow hedging instruments, the effective portion of the gain or loss in a hedge of a forecasted transaction is reported in other comprehensive income and reclassified to the condensed consolidated statements of operations when the forecasted transaction occurs. Any ineffective portion is recognized immediately in the condensed consolidated statements of operations. The Company currently does not hold any derivatives which are not designated as hedging instruments.

 

The following tabular disclosures reflect the impact that derivative instruments and hedging activities have on the Company’s condensed consolidated financial statements:

 

Notional value of foreign exchange contracts:

 

 

March 31,

 

December 31,

 

2017

 

2016

Derivatives designated as hedging instruments:

 

 

 

 

 

Foreign exchange contracts — Forwards

$ 

39,802 

 

$ 

37,825 

 

Fair value of derivatives in foreign exchange contracts:

 

 

 

March 31,

 

December 31,

 

Balance Sheet Location

2017

 

2016

Derivatives designated as hedging instruments:

 

 

 

 

 

 

Foreign exchange contracts — Forwards

Other assets

$ 

604 

 

$ 

480 

 

Accrued and other liabilities

 

(302)

 

 

(776)

 

 

$ 

302 

 

$ 

(296)

 


 

Derivatives in Foreign Currency Hedging relationships for the three months ended March 31:

 

 

 

 

Three Months Ended March 31,

 

 

 

 

2017

 

 

2016

Foreign exchange contracts — Forwards

Derivative Gain

 

 

 

 

 

 

 

Recognized in OCI

 

 

 

 

 

 

 

(Effective Portion)

 

$ 

313 

 

$ 

2,207 

 

 

 

 

 

 

 

 

 

Location of Derivative Loss

 

 

 

 

 

 

 

Reclassified from AOCI

 

Three Months Ended March 31,

 

into Income (Effective Portion)

 

 

2017

 

 

2016

Foreign exchange contracts — Forwards

Selling, general and

 

 

 

 

 

 

 

administrative expenses

 

$ 

(285)

 

$ 

(1,277)

 

 

 

 

Three Months Ended March 31,

 

 

 

 

2017

 

 

2016

Foreign exchange contracts - Forwards

Derivative Loss

 

 

 

 

 

 

 

Recognized In and Out of

 

 

 

 

 

 

 

OCI (Effective Portion)

 

$ 

(47)

 

$ 

- 

 

 

The Company's estimated net amount of the existing gains as at March 31, 2017 is $0.4 million, which is expected to be reclassified to earnings within the next twelve months

 

  1. Investments in New Business Ventures

 

The Company accounts for investments in new business ventures using the guidance of the FASB ASC 323 or FASB ASC 320, as appropriate. As at March 31, 2017, the equity method of accounting is being utilized for an investment with a carrying value of $nil (December 31, 2016 — $nil). The Company’s accumulated losses in excess of its equity investment were $0.7 million as at March 31, 2017, and are classified in Accrued and other liabilities. For the three months ended March 31, 2017, gross revenues, cost of revenue and net loss for the Company’s investments were $0.2 million, $0.9 million and $0.7 million, respectively (2016 — $0.4 million, $2.2 million and $1.8 million, respectively). The Company has determined it is not the primary beneficiary of this VIE, and therefore this entity has not been consolidated. In 2016, the Company issued a convertible loan of $1.0 million to this entity with a term of 3 years with an annual effective interest rate of 5.0%. The instrument is classified as an available-for-sale investment due to certain features that allow for conversion to common stock in the entity in the event of certain triggers occurring. In addition, the Company has an investment in preferred stock of another business venture of $1.5 million which meet the criteria for classification as a debt security under the FASB ASC 320 and is recorded at a fair value of $nil at March 31, 2017 (December 31, 2016 — $nil). This investment was classified as an available-for-sale investment. Furthermore, the Company has an investment of $1.0 million (December 31, 2016 — $1.0 million) in the shares of an exchange traded fund. This investment is also classified as an available-for-sale investment. As at March 31, 2017, the Company held investments with a total value of $3.5 million in the preferred shares of enterprises which meet the criteria for classification as an equity security under FASB ASC 325, carried at historical cost, net of impairment charges. The carrying value of these equity security investments was $1.0 million at March 31, 2017 (December 31, 2016 — $nil). The total carrying value of investments in new business ventures at March 31, 2017 is $3.0 million (December 31, 2016 — $2.0 million) and is recorded in Other assets.

 

XML 34 R23.htm IDEA: XBRL DOCUMENT v3.7.0.1
Non-Controlling Interests
3 Months Ended
Mar. 31, 2017
Temporary Equity Disclosure [Abstract]  
Non-Controlling Interests [Text Block]

16.  Non-Controlling Interests

 

  1. IMAX China Non-Controlling Interest

 

On April 8, 2014, the Company announced sale and issuance of 20% of the shares of IMAX China to entities owned and controlled by CMC Capital Partners (“CMC”), an investment fund that is focused on media and entertainment, and FountainVest Partners (“FountainVest”), a China-focused private equity firm. The sale price for the interest was $80.0 million, and was paid by the investors in two equal installments on April 8, 2014 and February 10, 2015.

 

On October 8, 2015, IMAX China completed the IMAX China IPO. Following the IMAX China IPO, the Company continues to indirectly own approximately 68.2% of IMAX China, which remains a consolidated subsidiary of the Company. On October 15, 2015, in satisfaction of its obligations under the shareholders’ agreement, IMAX China paid a dividend of $9.5 million to the non-controlling interest shareholders.

 

The following summarizes the movement of the non-controlling interest in shareholders’ equity, in the Company’s subsidiary for the three months ended March 31, 2017:

 

Balance as at December 31, 2016

 

 

 

 

 

$ 

59,562 

Net income

 

 

 

 

 

 

1,463 

Other comprehensive loss

 

 

 

 

 

 

146 

Balance as at March 31, 2017

 

 

 

 

 

$ 

61,171 

 

  1. Other Non-Controlling Interest

 

In 2014, the Company announced the creation of the Film Fund to co-finance a portfolio of 10 original large-format films. The Film Fund, which is intended to be capitalized with up to $50.0 million, will finance an ongoing supply of original films that the Company believes will be more exciting and compelling than traditional documentaries. The initial investment in the Film Fund was committed to by a third party in the amount of $25.0 million, with the possibility of contributing additional funds. The Company agreed to contribute $9.0 million to the Film Fund over five years starting in 2014 and sees the Film Fund as a self-perpetuating vehicle designed to generate a continuous, steady flow of high-quality documentary content. As at March 31, 2017, the Film Fund invested $13.4 million toward the development of original films. The related production, financing and distribution agreement includes put and call rights relating to change of control of the rights, title and interest in the co-financed pictures. 

 

The following summarizes the movement of the non-controlling interest in temporary equity, in the Company’s subsidiary for the three months ended March 31, 2017:

 

Balance as at December 31, 2016

 

 

 

$ 

4,980 

Net loss

 

 

 

 

(2,425)

Balance as at March 31, 2017

 

 

 

$ 

2,555 

 

XML 35 R24.htm IDEA: XBRL DOCUMENT v3.7.0.1
Basis of Presentation (Policies)
3 Months Ended
Mar. 31, 2017
Basis of Presentation and Condensed Consolidated Statements of Operations Supplemental Information [Abstract]  
Basis of Accounting

All intercompany accounts and transactions, including all unrealized intercompany profits on transactions with equity-accounted investees, have been eliminated.

 

The year-end condensed consolidated balance sheet data was derived from audited financial statements, but does not include all disclosures required by U.S. GAAP.

 

These interim financial statements should be read in conjunction with the consolidated financial statements included in the Company’s 2016 Annual Report on Form 10-K for the year ended December 31, 2016 (“the 2016 Form 10-K”) which should be consulted for a summary of the significant accounting policies utilized by the Company. These interim financial statements are prepared following accounting policies consistent with the Company’s financial statements for the year ended December 31, 2016, except as noted below. Certain prior period information has been revised to reflect the current period information.

Variable interest entities

The condensed consolidated financial statements include the accounts of the Company together with its consolidated subsidiaries, except for subsidiaries which the Company has identified as variable interest entities (“VIEs”) where the Company is not the primary beneficiary. The nature of the Company’s business is such that the results of operations for the interim periods presented are not necessarily indicative of results to be expected for the fiscal year. In the opinion of management, the information contained herein reflects all normal and recurring adjustments necessary to make the results of operations for the interim periods a fair statement of such operations.

 

The Company has evaluated its various variable interests to determine whether they are VIEs as required by the Consolidation Topic of the Financial Accounting Standards Board (“FASB”) Accounting Standards Codification (“ASC” or “Codification”).

 

The Company has nine film production companies that are VIEs. For four of the Company’s film production companies, the Company has determined that it is the primary beneficiary of these entities as the Company has the power to direct the activities of the respective VIE that most significantly impact the respective VIE’s economic performance and has the obligation to absorb losses of the VIE that could potentially be significant to the respective VIE or the right to receive benefits from the respective VIE that could potentially be significant to the respective VIE. These consolidated production companies have total assets of $5.8 million (December 31, 2016 — $10.3 million) and total liabilities of $6.5 million as at March 31, 2017 (December 31, 2016 — $6.4 million). The majority of these consolidated assets are held by the IMAX Original Film Fund (the “Film Fund”) as described in note 16(b). For the other five film production companies which are VIEs, the Company did not consolidate these film entities since it does not have the power to direct activities and does not absorb the majority of the expected losses or expected residual returns. The Company equity accounts for these entities. As at March 31, 2017, these five VIEs have total assets of $0.4 million (December 31, 2016 — $0.4 million) and total liabilities of $0.4 million (December 31, 2016 — $0.4 million). Earnings of the investees included in the Company’s condensed consolidated statements of operations amounted to $nil for the three months ended March 31, 2017 (2016 — $nil). The carrying value of these investments in VIEs that are not consolidated is $nil at March 31, 2017 (December 31, 2016 — $nil). A loss in value of an investment other than a temporary decline is recognized as a charge to the condensed consolidated statements of operations. The Company’s exposure, which is determined based on the level of funding contributed by the Company and the development stage of the respective film, is $nil at March 31, 2017 (December 31, 2016 — $nil).

Equity and Cost Method Investments Policy

The Company accounts for investments in new business ventures using the guidance of the FASB ASC 323 “Investments – Equity Method and Joint Ventures” (“ASC 323”) or ASC 320 “Investments in Debt and Equity Securities” (“ASC 320”), as appropriate.

New Accounting Pronouncements Adopted

In July 2015, the FASB issued ASU No. 2015-11, “Inventory (Topic 330): Simplifying the Measurement of Inventory” (“ASU 2015-11”). The purpose of the amendment is to more closely align the measurement of inventory in U.S. GAAP with the measurement of inventory in International Financial Reporting Standards. Under the ASU inventory is measured at the lower of cost and net realizable value. The clarifications are not intended to result in any changes in practice and to reduce the complexity in guidance on the subsequent measurement of inventory. This standard only applies to inventory being measured using the first-in, first-out or average cost methods of accounting for inventory. The adoption of ASU 2015-11 did not have an impact to the Company’s condensed consolidated financial statements. 

 

In March 2016, the FASB issued ASU No. 2016-05, “Derivatives and Hedging (Topic 815): Effect of Derivative Contract Novations on Existing Hedge Accounting Relationships” (“ASU 2016-05”). The amendments in ASU 2016-05 apply to all reporting entities for which there is a change in the counterparty to a derivative instrument that has been designated as a hedging instrument under Topic 815. The amendments clarify that a change in the counterparty to a derivative instrument that has been designated as the hedging instrument under Topic 815 does not, in and of itself, require de-designation of that hedging relationship provided that all other hedge accounting criteria (including those in paragraphs 815-20-35-14 through 35-18) continue to be met. The adoption of this ASU 2016-05 did not have an impact to the Company’s condensed consolidated financial statements.

 

In March 2016, the FASB issued ASU No. 2016-07, “Investments – Equity Method and Joint Ventures (Topic 323): Simplifying the Transition to the Equity Method of Accounting” (“ASU 2016-07”). The purpose of the amendment is to eliminate the requirement that when an investment qualifies for use of the equity method as a result of an increase in the level of ownership interest or degree of influence, an investor must adjust the investment, results of operations, and retained earnings retroactively on a step-by step basis as if the equity method had been in effect during all previous periods that the investment had been held. The adoption of ASU 2016-07 did not have an impact to the Company’s condensed consolidated financial statements.

 

In October 2016, the FASB issued ASU No. 2016-16, “Income Taxes (Topic 740)”. The purpose of ASU 2016-16 is to eliminate the exception for an intra-entity transfer of an asset other than inventory. The amendments require the recognition of the income tax consequences of an intra-entity transfer of an asset, other than inventory, when the transfer occurs. The Company has elected to early adopt ASU 2016-16 during the quarter ended March 31, 2017. The impact from the adoption was reflected in the Company’s condensed consolidated financial statements on a modified retrospective basis resulting in an increase to Accumulated deficit of $8.3 million, a decrease to Other assets of $14.8 million, an increase to Deferred taxes of $7.9 million and an increase to Accrued and other liabilities of $1.4 million.

 

In October 2016, the FASB issued ASU No. 2016-17, “Consolidation (Topic 810)”. The purpose of ASU 2016-17 is to update the requirement of the reporting entity, in determining whether it satisfies the second characteristic of a primary beneficiary, to include all of its direct variable interests in a VIE and, on a proportionate basis, its indirect variable interests in a VIE held through related parties, including related parties that are under common control with the reporting entity. The adoption of ASU 2016-17 did not have an impact to the Company’s condensed consolidated financial statements.

Accounting Pronouncements Not Yet Adopted

In February 2016, the FASB issued ASU No. 2016-02, “Leases (Topic 842)” (“ASU 2016-02”). The purpose of the amendment is to help investors and other financial statement users better understand the amount, timing, and uncertainty of cash flows arising from leases. New disclosures will include qualitative and quantitative requirements to provide additional information about the amounts recorded in the financial statements. Lessor accounting will remain largely unchanged from current guidance, however ASU 2016-02 will provide improvements that are intended to align lessor accounting with the lessee model and with updated revenue recognition guidance. For public entities, the amendments in ASU 2016-02 are effective for interim and annual reporting periods beginning after December 15, 2018. While the Company continues to evaluate the effect of the standard on its ongoing financial reporting, it anticipates that the adoption of ASU 2016-02 will result in a change to its financial statement disclosures.

 

In March 2016, the FASB issued ASU No. 2016-08, “Revenue from Contracts with Customers (Topic 606): Principal versus Agent Considerations” (“ASU 2016-08”). The purpose of ASU 2016-08 is to clarify the implementation of guidance on principal versus agent considerations.

 

In April 2016, the FASB issued ASU No. 2016-10, “Revenue from Contracts with Customers (Topic 606): Identifying Performance Obligations and Licensing” (“ASU 2016-10”). The purpose of ASU 2016-10 is to provide more detailed guidance in the following key areas: identifying performance obligations and licenses of intellectual property.

 

In May 2016, the FASB issued ASU No. 2016-11, to rescind from the FASB Accounting Standards Codification certain SEC paragraphs as a result of two SEC Staff Announcements at the March 3, 2016 meeting.

 

In May 2016, the FASB issued ASU No. 2016-12, “Revenue from Contracts with Customers (Topic 606): Narrow-Scope Improvements and Practical Expedients” (“ASU 2016-12”). The purpose of ASU 2016-12 is to clarify certain narrow aspects of Topic 606 such as assessing the collectibility criterion, presentation of sales taxes and other similar taxes collected from customers, noncash consideration, contract modifications at transition, completed contracts at transition, and technical corrections.

 

In December 2016, the FASB issued ASU No. 2016-20, “Technical Corrections and Improvements to Topic 606, Revenue from Contracts with Customers”. The amendments in ASU 2016-20 represent changes to clarify the accounting standard codification, correct unintended application of guidance, or make minor improvements to the accounting standards codification that are related to Topic 606, Revenue from Contracts with Customers.

 

For public companies, ASU 2016-08, ASU 2016-10, ASU 2016-11, ASU 2016-12 and ASU 2016-20, which are all related to Topic 606, are effective for interim and annual reporting periods beginning after December 15, 2017. The Company has performed an analysis of its contracts to determine those in scope of the standard, has performed detailed analyses of those contracts and identified its performance obligations.  The Company is currently in the process of determining contract consideration and is determining the appropriate timing for revenue recognition of those performance obligations.  Since many of the Company’s contracts involve variable payments tied to box-office, the Company is currently assessing an appropriate constraint to variable revenue streams in determining contract consideration under the new standard.  The Company currently intends to adopt the new standard using the modified retrospective method and has begun the process of gathering historical information on its contracts in preparation for the standard’s expanded disclosure requirements.

 

In June 2016, the FASB issued ASU No. 2016-13, “Financial Instruments – Credit Losses (Topic 326): Measurement of Credit Losses on Financial Instruments” (“ASU 2016-13”). The purpose of ASU 2016-13 is to require a financial asset measured on the amortized cost basis to be presented at the net amount expected to be collected. Credit losses relating to available-for-sale debt securities should be recorded through an allowance for credit losses. For public entities, the amendments in ASU 2016-13 are effective for interim and annual reporting periods beginning after December 15, 2019. The Company is currently assessing the impact of ASU 2016-13 on its condensed consolidated financial statements.

 

In January 2017, the FASB issued ASU No. 2017-01, “Business Combinations (Topic 805): Clarifying the Definition of a Business” (“ASU 2017-01”). The purpose of the amendment is to clarify the definition of a business with the objective of adding guidance to assist entities with evaluating whether transactions should be accounted for as acquisitions (or disposals) of assets or businesses. For public entities, the amendments in ASU 2017-01 are effective for interim and annual reporting periods beginning after December 15, 2017. The adoption of this ASU 2017-01 is not expected to have a material impact to the Company’s condensed consolidated financial statements.

 

In January 2017, the FASB issued ASU No. 2017-04, “Intangibles – Goodwill and Other (Topic 350): Simplifying the Test for Goodwill Impairment” (“ASU 2017-04”). The purpose of the amendment is to simplify how an entity is required to test goodwill for impairment by eliminating Step 2 from the goodwill impairment test. Step 2 measures a goodwill impairment loss by comparing the implied fair value of a reporting unit’s goodwill with the carrying amount of that goodwill. For public entities, the amendments in ASU 2017-04 are effective for interim and annual reporting periods beginning after December 15, 2019. The Company is currently assessing the impact of ASU 2017-04 on its condensed consolidated financial statements.

 

In March 2017, the FASB issued ASU No. 2017-07, “Compensation – Retirement Benefits (Topic 715): Improving the Presentation of Net Periodic Pension Cost and Net Periodic Postretirement Benefit Cost” (“ASU 2017-07”). The amendment requires the service cost component of net periodic benefit cost be presented in the same income statement line item as other employee compensation costs arising from services rendered during the period and other components of the net periodic benefit cost be presented separately from the line item that includes the service cost and outside of any subtotal of operating income. For public entities, the amendments in ASU 2017-07 are effective for interim and annual reporting periods beginning after December 15, 2017. The Company is currently assessing the impact of ASU 2017-07 on its condensed consolidated financial statements.

 

The Company considers the applicability and impact of all recently issued FASB accounting standard codification updates. Accounting standards updates that are not noted above were assessed and determined to be not applicable or not significant to the Company’s condensed consolidated financial statements for the period ended March 31, 2017.

Commitments and Contingencies Policy

The Company is involved in lawsuits, claims, and proceedings, including those identified below, which arise in the ordinary course of business. In accordance with the Contingencies Topic of the FASB ASC, the Company will make a provision for a liability when it is both probable that a loss has been incurred and the amount of the loss can be reasonably estimated. The Company believes it has adequate provisions for any such matters. The Company reviews these provisions in conjunction with any related provisions on assets related to the claims at least quarterly and adjusts these provisions to reflect the impacts of negotiations, settlements, rulings, advice of legal counsel and other pertinent information related to the case. Should developments in any of these matters outlined below cause a change in the Company’s determination as to an unfavorable outcome and result in the need to recognize a material provision, or, should any of these matters result in a final adverse judgment or be settled for significant amounts, they could have a material adverse effect on the Company’s results of operations, cash flows, and financial position in the period or periods in which such a change in determination, settlement or judgment occurs.

Legal Costs Policy

The Company expenses legal costs relating to its lawsuits, claims and proceedings as incurred.

Commissions Expense Policy

The Company defers direct selling costs such as sales commissions and other amounts related to its sale and sales-type lease arrangements until the related revenue is recognized.

Collaborative Arrangements Policy

In a joint revenue sharing arrangement, the Company receives a portion of a theater’s box-office and concession revenues, and in some cases a small upfront or initial payment, in exchange for placing a theater system at the theater operator’s venue. Under joint revenue sharing arrangements, the customer has the ability and the right to operate the hardware components or direct others to operate them in a manner determined by the customer. The Company’s joint revenue sharing arrangements are typically non-cancellable for 10 years or longer with renewal provisions. Title to equipment under joint revenue sharing arrangements generally does not transfer to the customer. The Company’s joint revenue sharing arrangements do not contain a guarantee of residual value at the end of the term. The customer is required to pay for executory costs such as insurance and taxes and is required to pay the Company for maintenance and extended warranty throughout the term. The customer is responsible for obtaining insurance coverage for the theater systems commencing on the date specified in the arrangement’s shipping terms and ending on the date the theater systems are delivered back to the Company.

Film Costs Policy

In a typical IMAX DMR film arrangement, the Company receives a percentage, which in recent years has averaged approximately 12.5%, of net box-office receipts, defined as gross box office receipts less applicable sales taxes, of any commercial films released in the IMAX theater network outside of Greater China from the applicable film studio for the conversion of the film to the IMAX DMR format and for access to the Company’s premium distribution platform. Within Greater China, the Company receives a lower percentage of box-office receipts for certain films. The Company does not typically hold distribution rights or the copyright to those films.

Revenue Recognition Leases

The accounting policy for the Company’s joint revenue sharing arrangements is disclosed in note 2(m) of the Company’s 2016 Form 10-K.

Films Revenue Recognition Policy

The accounting policy for the Company’s IMAX DMR arrangements is disclosed in note 2(m) of the Company’s 2016 Form 10-K. The accounting policies relating to co-produced film arrangements are disclosed in note 2(m) of the Company’s 2016 Form 10-K.

Segment Reporting Policy

In the first quarter of 2017, modifications have been made to the CEO’s reporting package to move away from the Company’s historical two primary groups – IMAX Theater Systems and Film – and align with the way in which the CODM manages the business. The new structure is expected to assist users of the financial statements with an enhanced understanding of how management views the business, and the drivers behind the Company’s performance. Certain of the prior period’s figures have been reclassified to conform to the current period’s presentation.

 

The Company has identified new business as an additional reportable segment in the first quarter of 2017. The Company now has the following eight reportable segments: IMAX systems; IMAX DMR; joint revenue sharing arrangements; theater system maintenance; film distribution; film post-production; new business; and other.

 

The Company’s reportable segments are now under four primary groups identified by nature of product sold or service provided: (1) Network Business, representing variable revenue generated by box-office results and which includes the reportable segment of IMAX DMR and contingent rent from the joint revenue sharing arrangements and IMAX systems segments; (2) Theater Business, representing revenue generated by the sale and installation of theater systems and maintenance services, primarily related to the IMAX Systems and Theater System Maintenance reportable segments, and also includes fixed hybrid revenues and upfront installation costs from the joint revenue sharing arrangements segment and after-market sales of projection system parts and 3D glasses from the other segment; (3) New Business, which includes content licensing and distribution fees associated with the Company’s original content investments, virtual reality initiatives, IMAX Home Entertainment, and other business initiatives that are in the development and/or start-up phase, and (4) Other; which includes the film post-production and distribution segments and certain IMAX theaters that the Company owns and operates, camera rentals and other miscellaneous items from the other segment. The Company is presenting information at a disaggregated level to provide more relevant information to readers, as permitted by the standard. The accounting policies of the segments are the same as those described in note 2 to the audited consolidated financial statements included in the Company’s 2016 Form 10-K. In addition, refer to Item 2 of the Company’s Form 10-Q for additional information regarding the four primary groups mentioned above.

Fair Value of Financial Instruments Policy

Cash and cash equivalents are comprised of cash and interest-bearing investments with original maturity dates of 90 days or less. Cash and cash equivalents are recorded at cost, which approximates fair value (Level 1 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

 

The estimated fair values of the net financed sales receivable and net investment in sales-type leases are estimated based on discounting future cash flows at currently available interest rates with comparable terms (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

 

The estimated fair value of the Company’s convertible loan receivable is based on discounting future cash flows at currently available interest rates with comparable terms (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

 

The fair value of the Company’s available-for-sale investment is determined using quoted prices in active markets (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively.

 

The fair value of foreign currency derivatives is determined using quoted prices in active markets (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017 and December 31, 2016, respectively. These identical instruments are traded on a closed exchange.

 

The carrying value of borrowings under the Playa Vista Loan approximates fair value as the interest rates offered under the Playa Vista Loan are close to March 31, 2017 market rates for the Company for debt of the same remaining maturities (Level 2 input in accordance with the Fair Value Measurements Topic of the FASB ASC hierarchy) as at March 31, 2017.

Fair Value Transfer Policy

There were no significant transfers between Level 1 and Level 2 during the three months ended March 31, 2017 or 2016. When a determination is made to classify an asset or liability within Level 3, the determination is based upon the significance of the unobservable inputs to the overall fair value measurement.

Credit Risk Policy

The Company classifies its customers into four categories to indicate the credit quality worthiness of its financing receivables for internal purposes only:

 

Good standing — Theater continues to be in good standing with the Company as the client’s payments and reporting are up-to-date.

 

Credit Watch — Theater operator has begun to demonstrate a delay in payments, and has been placed on the Company's credit watch list for continued monitoring, but active communication continues with the Company. Depending on the size of outstanding balance, length of time in arrears and other factors, transactions may need to be approved by management. These financing receivables are considered to be in better condition than those receivables related to theaters in the "Pre-approved transactions" category, but not in as good of condition as those receivables in "Good standing." 

 

Pre-approved transactions only — Theater operator is demonstrating a delay in payments with little or no communication with the Company. All service or shipments to the theater must be reviewed and approved by management. These financing receivables are considered to be in better condition than those receivables related to theaters in the "All transactions suspended" category, but not in as good of condition as those receivables in "Credit Watch." Depending on the individual facts and circumstances of each customer, finance income recognition may be suspended if management believes the receivable to be impaired.

 

All transactions suspended — Theater is severely delinquent, non-responsive or not negotiating in good faith with the Company. Once a theater is classified as “All transactions suspended” the theater is placed on nonaccrual status and all revenue recognitions related to the theater are stopped.

Condition for Company's policy to review and assess collectability on theater's past due accounts

The Company considers financing receivables to be impaired when it believes it to be probable that it will not recover the full amount of principal or interest owing under the arrangement. The Company uses its knowledge of the industry and economic trends, as well as its prior experiences to determine the amount recoverable for impaired financing receivables.

Derivatives policy

The Company is exposed to market risk from changes in foreign currency rates. A majority portion of the Company’s revenues is denominated in U.S. dollars while a substantial portion of its costs and expenses is denominated in Canadian dollars. A portion of the net U.S. dollar cash flows of the Company is periodically converted to Canadian dollars to fund Canadian dollar expenses through the spot market. In China and Japan the Company has ongoing operating expenses related to its operations in Chinese Renminbi and Japanese yen, respectively. Net cash flows are converted to and from U.S. dollars through the spot market. The Company also has cash receipts under leases denominated in Chinese Renminbi, Japanese yen, Canadian dollars and Euros which are converted to U.S. dollars through the spot market. In addition, because IMAX films generate box-office in 75 different countries, unfavourable exchange rates between applicable local currencies, and the U.S. dollar affect the Company’s reported gross box-office and revenues, further impacting the Company’s results of operations. The Company’s policy is to not use any financial instruments for trading or other speculative purposes.

 

The Company entered into a series of foreign currency forward contracts to manage the Company’s risks associated with the volatility of foreign currencies. Certain of these foreign currency forward contracts met the criteria required for hedge accounting under the Derivatives and Hedging Topic of the FASB ASC at inception, and continue to meet hedge effectiveness tests at March 31, 2017 (the “Foreign Currency Hedges”), with settlement dates throughout 2017 and 2018. Foreign currency derivatives are recognized and measured in the balance sheet at fair value. Changes in the fair value (gains or losses) are recognized in the condensed consolidated statements of operations except for derivatives designated and qualifying as foreign currency cash flow hedging instruments. For foreign currency cash flow hedging instruments, the effective portion of the gain or loss in a hedge of a forecasted transaction is reported in other comprehensive income and reclassified to the condensed consolidated statements of operations when the forecasted transaction occurs. Any ineffective portion is recognized immediately in the condensed consolidated statements of operations. The Company currently does not hold any derivatives which are not designated as hedging instruments

ASU 2010-20

The Company considers financing receivables with aging between 60-89 days as indications of theaters with potential collection concerns. The Company will begin to focus its review on these financing receivables and increase its discussions internally and with the theater regarding payment status. Once a theater’s aging exceeds 90 days, the Company’s policy is to review and assess collectibility on the theater’s past due accounts. Over 90 days past due is used by the Company as an indicator of potential impairment as invoices up to 90 days outstanding could be considered reasonable due to the time required for dispute resolution or for the provision of further information or supporting documentation to the customer.

XML 36 R25.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financing Receivables (Tables)
3 Months Ended
Mar. 31, 2017
Financing Receivables [Abstract]  
Financing receivables, consisting of net investment in sales-type leases and receivables from financed sales

Financing receivables, consisting of net investment in sales-type leases and receivables from financed sales of theater systems are as follows:

 

 

March 31,

 

December 31,

 

2017

 

2016

Gross minimum lease payments receivable

$ 

10,119 

 

$ 

10,466 

Unearned finance income

 

(1,639)

 

 

(1,710)

Minimum lease payments receivable

 

8,480 

 

 

8,756 

Accumulated allowance for uncollectible amounts

 

(672)

 

 

(672)

Net investment in leases

 

7,808 

 

 

8,084 

Gross financed sales receivables

 

151,561 

 

 

154,301 

Unearned finance income

 

(38,385)

 

 

(39,766)

Financed sales receivables

 

113,176 

 

 

114,535 

Accumulated allowance for uncollectible amounts

 

(494)

 

 

(494)

Net financed sales receivables

 

112,682 

 

 

114,041 

Total financing receivables

$ 

120,490 

 

$ 

122,125 

 

 

 

 

 

 

Net financed sales receivables due within one year

$ 

22,645 

 

$ 

21,980 

Net financed sales receivables due after one year

$ 

90,037 

 

$ 

92,061 

 

XML 37 R26.htm IDEA: XBRL DOCUMENT v3.7.0.1
Inventories (Tables)
3 Months Ended
Mar. 31, 2017
Inventories [Abstract]  
Inventories

 

March 31,

 

December 31,

 

2017

 

2016

Raw materials

$ 

31,565 

 

$ 

28,000 

Work-in-process

 

3,994 

 

 

3,818 

Finished goods

 

9,874 

 

 

10,303 

 

$ 

45,433 

 

$ 

42,121 

 

XML 38 R27.htm IDEA: XBRL DOCUMENT v3.7.0.1
Property Plant and Equipment (Tables)
3 Months Ended
Mar. 31, 2017
Property, Plant and Equipment [Abstract]  
Property, Plant and Equipment

 

As at March 31, 2017

 

 

 

 

Accumulated

 

Net Book

 

Cost

 

Depreciation

 

Value

Equipment leased or held for use

 

 

 

 

 

 

 

 

Theater system components

$ 

227,636 

 

$ 

93,280 

 

$ 

134,356 

Camera equipment

 

5,990 

 

 

3,879 

 

 

2,111 

 

 

233,626 

 

 

97,159 

 

 

136,467 

Assets under construction

 

22,175 

 

 

- 

 

 

22,175 

Other property, plant and equipment

 

 

 

 

 

 

 

 

Land

 

8,203 

 

 

- 

 

 

8,203 

Buildings

 

70,692 

 

 

15,439 

 

 

55,253 

Office and production equipment

 

42,513 

 

 

23,412 

 

 

19,101 

Leasehold improvements

 

10,452 

 

 

3,423 

 

 

7,029 

 

 

131,860 

 

 

42,274 

 

 

89,586 

 

$ 

387,661 

 

$ 

139,433 

 

$ 

248,228 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

As at December 31, 2016

 

 

 

 

Accumulated

 

Net Book

 

Cost

 

Depreciation

 

Value

Equipment leased or held for use

 

 

 

 

 

 

 

 

Theater system components

$ 

224,890 

 

$ 

89,218 

 

$ 

135,672 

Camera equipment

 

5,739 

 

 

3,732 

 

 

2,007 

 

 

230,629 

 

 

92,950 

 

 

137,679 

Assets under construction

 

18,315 

 

 

- 

 

 

18,315 

Other property, plant and equipment

 

 

 

 

 

 

 

 

Land

 

8,203 

 

 

- 

 

 

8,203 

Buildings

 

69,861 

 

 

14,877 

 

 

54,984 

Office and production equipment

 

41,128 

 

 

21,935 

 

 

19,193 

Leasehold improvements

 

10,067 

 

 

3,026 

 

 

7,041 

 

 

129,259 

 

 

39,838 

 

 

89,421 

 

$ 

378,203 

 

$ 

132,788 

 

$ 

245,415 

 

XML 39 R28.htm IDEA: XBRL DOCUMENT v3.7.0.1
Other Intangible Assets (Tables)
3 Months Ended
Mar. 31, 2017
Other Intangible Assets [Abstract]  
Other Intangible Assets

 

As at March 31, 2017

 

 

 

Accumulated

 

Net Book

 

Cost

 

Amortization

 

Value

Patents and trademarks

$ 

11,578 

 

$ 

7,216 

 

$ 

4,362 

Licenses and intellectual property

 

21,167 

 

 

6,522 

 

 

14,645 

Other

 

16,686 

 

 

4,587 

 

 

12,099 

 

$ 

49,431 

 

$ 

18,325 

 

$ 

31,106 

 

 

 

 

 

 

 

 

 

 

As at December 31, 2016

 

 

 

Accumulated

 

Net Book

 

Cost

 

Amortization

 

Value

Patents and trademarks

$ 

11,395 

 

$ 

7,046 

 

$ 

4,349 

Licenses and intellectual property

 

22,490 

 

 

7,620 

 

 

14,870 

Other

 

15,352 

 

 

4,155 

 

 

11,197 

 

$ 

49,237 

 

$ 

18,821 

 

$ 

30,416 

 

Other Intangible Assets - Future Amortization

As at March 31, 2017, estimated amortization expense for each of the years ended December 31, are as follows:

 

2017 (nine months remaining)

$ 

2,774 

2018

 

3,699 

2019

 

3,699 

2020

 

3,699 

2021

 

3,699 

 

XML 40 R29.htm IDEA: XBRL DOCUMENT v3.7.0.1
Credit Facility and Playa Vista Loan (Tables)
3 Months Ended
Mar. 31, 2017
Credit Facility and Playa Vista Loan [Abstract]  
Bank indebtedness

Bank indebtedness includes the following:

 

 

March 31,

 

December 31,

 

2017

 

2016

Playa Vista Loan

$ 

27,167 

 

$ 

27,667 

Deferred charges on debt financing

 

(341)

 

 

(351)

 

$ 

26,826 

 

$ 

27,316 

 

Construction loan principal payments

In accordance with the loan agreement, the Company is obligated to make payments on the principal of the loan as follows:

 

2017 (nine months remaining)

$ 

1,500 

2018

 

2,000 

2019

 

2,000 

2020

 

2,000 

2021

 

2,000 

Thereafter

 

17,667 

 

$ 

27,167 

 

XML 41 R30.htm IDEA: XBRL DOCUMENT v3.7.0.1
Condensed Consolidated Statements of Cash Flows Supplemental Information (Tables)
3 Months Ended
Mar. 31, 2017
Condensed Consolidated Statements of Cash Flows Supplemental Information [Abstract]  
Changes in other non-cash operating assets and liabilities

 

Three Months Ended

 

March 31,

 

 

2017

 

 

2016

Decrease (increase) in:

 

 

 

 

 

Accounts receivable

$ 

161 

 

$ 

6,070 

Financing receivables

 

1,763 

 

 

(1,748)

Inventories

 

(3,312)

 

 

(5,994)

Prepaid expenses

 

(1,421)

 

 

(2,345)

Commissions and other deferred selling expenses

 

(228)

 

 

34 

Insurance recoveries

 

(96)

 

 

132 

Other assets

 

100 

 

 

(441)

Increase (decrease) in:

 

 

 

 

 

Accounts payable

 

(6,041)

 

 

(2,470)

Accrued and other liabilities

 

(18,825)

 

 

(12,023)

Deferred revenue

 

10,619 

 

 

(2,998)

 

$ 

(17,280)

 

$ 

(21,783)

 

Cash payments

 

Three Months Ended

 

March 31,

 

 

2017

 

 

2016

Income taxes

$ 

7,270 

 

$ 

12,051 

Interest

$ 

190 

 

$ 

180 

 

Summary of depreciation and amortization

 

Three Months Ended

 

March 31,

 

 

2017

 

 

2016

Film assets

$ 

3,805 

 

$ 

3,356 

Property, plant and equipment

 

 

 

 

 

Joint revenue sharing arrangements

 

4,246 

 

 

3,738 

Other property, plant and equipment

 

2,760 

 

 

2,326 

Other intangible assets

 

926 

 

 

672 

Other assets

 

220 

 

 

205 

Deferred financing costs

 

131 

 

 

141 

 

$ 

12,088 

 

$ 

10,438 

 

Write downs, net of recoveries

 

Three Months Ended

 

March 31,

 

 

2017

 

 

2016

 

 

 

 

 

 

Accounts receivable

$ 

185 

 

$ 

126 

Inventories

 

- 

 

 

184 

Film assets(1)

 

3,416 

 

 

- 

Property, plant and equipment(2)

 

409 

 

 

329 

Other intangible assets

 

- 

 

 

9 

 

$ 

4,010 

 

$ 

648 

 

 

 

 

 

 

 

XML 42 R31.htm IDEA: XBRL DOCUMENT v3.7.0.1
Income Taxes (Tables)
3 Months Ended
Mar. 31, 2017
Income Taxes [Abstract]  
Income tax effect related to other comprehensive loss

 

 

Three Months Ended

 

 

March 31,

 

 

2017

 

2016

 

 

 

 

 

 

 

Unrealized change in cash flow hedging instruments

 

$ 

(82)

 

$ 

(574)

Realized change in cash flow hedging instruments upon settlement

 

 

(75)

 

 

(332)

Amortization of actuarial loss on postretirement benefit plan

 

 

- 

 

 

(5)

 

 

$ 

(157)

 

$ 

(911)

 

XML 43 R32.htm IDEA: XBRL DOCUMENT v3.7.0.1
Capital Stock (Tables)
3 Months Ended
Mar. 31, 2017
Capital Stock [Abstract]  
Weighted average fair value of common share granted to employees and directors

The following assumptions were used to estimate the average fair value of the stock options:

 

 

 

Three Months

 

 

Ended March 31,

 

 

2017

 

2016

 

 

 

 

 

Average risk-free interest rate

 

2.40%

 

1.72%

Expected option life (in years)

 

4.71 - 5.83

 

4.79 - 4.88

Expected volatility

 

30%

 

30%

Dividend yield

 

0%

 

0%

 

Option activity under the Stock Option Plan and the IMAX LTIP

The following table summarizes certain information in respect of option activity under the SOP and IMAX LTIP for the three month periods ended March 31:

 

 

 

 

 

Weighted Average Exercise

 

Number of Shares

 

 

Price Per Share

 

2017

 

2016

 

2017

 

2016

 

 

 

 

 

 

 

 

 

 

Options outstanding, beginning of period

5,190,542 

 

4,805,244 

 

$ 

28.35 

 

$ 

27.03 

Granted

679,030 

 

323,925 

 

 

32.16 

 

 

31.85 

Exercised

(584,589)

 

(43,750)

 

 

22.38 

 

 

16.91 

Forfeited

(16,380)

 

(2,042)

 

 

31.69 

 

 

31.85 

Options outstanding, end of period

5,268,603 

 

5,083,377 

 

 

29.49 

 

 

27.42 

Options exercisable, end of period

3,945,034 

 

3,507,573 

 

 

28.68 

 

 

26.52 

 

Restricted Stock Units activity under the IMAX LTIP

The following table summarizes certain information in respect of RSU activity under the IMAX LTIP for the three months ended March 31:

 

 

 

Number of Awards

 

Weighted Average Grant Date Fair Value Per Share

 

 

2017

 

2016

 

 

2017

 

 

2016

 

 

 

 

 

 

 

 

 

 

 

RSUs outstanding, beginning of period

 

1,124,180 

 

973,637 

 

$ 

33.01 

 

$ 

32.27 

Granted

 

373,540 

 

351,584 

 

 

32.45 

 

 

31.85 

Vested and settled

 

(201,793)

 

(190,298)

 

 

31.25 

 

 

29.47 

Forfeited

 

(20,506)

 

(3,092)

 

 

32.31 

 

 

32.43 

RSUs outstanding, end of period

 

1,275,421 

 

1,131,831 

 

 

33.13 

 

 

32.61 

 

Basic and diluted per-share computations

Reconciliations of the numerator and denominator of the basic and diluted per-share computations are comprised of the following:

 

 

 

Three Months

 

 

Ended March 31,

 

 

2017

 

2016

 

 

 

 

 

 

 

Net income applicable to common shareholders

 

$ 

75 

 

$ 

11,302 

Weighted average number of common shares (000's):

 

 

 

 

 

 

Issued and outstanding, beginning of period

 

 

66,160 

 

 

69,673 

Weighted average number of shares issued (repurchased) during the period

 

 

203 

 

 

(294)

Weighted average number of shares used in computing basic income per share

 

 

66,363 

 

 

69,379 

Assumed exercise of stock options and RSUs, net of shares assumed repurchased

 

 

817 

 

 

741 

Weighted average number of shares used in computing diluted income per share

 

 

67,180 

 

 

70,120 

 

Movement of Shareholders' Equity

The following summarizes the movement of Shareholders’ Equity attributable to common shareholders for the three months ended March 31, 2017:

 

Balance as at December 31, 2016

 

$ 

562,012 

Net income attributable to common shareholders

 

 

75 

Retrospective adjustment related to intra-entity transfers (notes 2 and 11)

 

 

(8,314)

Adjustments to capital stock:

 

 

 

Cash received from the issuance of common shares

 

 

13,082 

Issuance of common shares for vested RSUs

 

 

273 

Fair value of stock options exercised at the grant date

 

 

3,270 

Share held in treasury

 

 

1,160 

Adjustments to other equity:

 

 

 

Employee stock options granted

 

 

1,596 

Non-employee stock options granted and vested

 

 

17 

Fair value of stock options exercised at the grant date

 

 

(3,270)

RSUs granted

 

 

3,554 

RSUs vested

 

 

(6,506)

Stock exercised from treasury shares

 

 

(7,025)

Adjustments to accumulated other comprehensive loss:

 

 

 

Unrealized net gain from cash flow hedging instruments

 

 

313 

Realization of cash flow hedging net loss upon settlement

 

 

285 

Foreign currency translation adjustments

 

 

312 

Tax effect of movement in other comprehensive income

 

 

(157)

Balance as at March 31, 2017

 

$ 

560,677 

 

XML 44 R33.htm IDEA: XBRL DOCUMENT v3.7.0.1
Segmented Information (Tables)
3 Months Ended
Mar. 31, 2017
Segmented Information [Abstract]  
Inter-segment revenue


 

Three Months Ended

 

March 31,

 

 

2017

 

 

2016

Revenue(1)

 

 

 

 

 

Network business

 

 

 

 

 

IMAX DMR

$ 

23,408 

 

$ 

29,805 

Joint revenue sharing arrangements – contingent rent

 

15,233 

 

 

21,315 

IMAX systems – contingent rent

 

688 

 

 

1,187 

 

 

39,329 

 

 

52,307 

 

 

 

 

 

 

Theater business

 

 

 

 

 

IMAX systems

 

9,527 

 

 

20,674 

Joint revenue sharing arrangements – fixed fees

 

470 

 

 

2,070 

Theater system maintenance

 

11,045 

 

 

9,826 

Other theater

 

2,165 

 

 

2,487 

 

 

23,207 

 

 

35,057 

 

 

 

 

 

 

New business

 

1,280 

 

 

- 

 

 

 

 

 

 

Other

 

 

 

 

 

Film post-production

 

3,072 

 

 

2,407 

Film distribution

 

512 

 

 

363 

Other

 

1,257 

 

 

1,994 

 

 

4,841 

 

 

4,764 

 

 

 

 

 

 

Total

$ 

68,657 

 

$ 

92,128 

 

 

 

 

 

 

 

 

 

 

 

 

Gross Margin

 

 

 

 

 

Network business

 

 

 

 

 

IMAX DMR(2)

$ 

17,467 

 

$ 

22,823 

Joint revenue sharing arrangements – contingent rent(2)

 

10,250 

 

 

17,487 

IMAX systems – contingent rent

 

688 

 

 

1,187 

 

 

28,405 

 

 

41,497 

 

 

 

 

 

 

Theater business

 

 

 

 

 

IMAX systems(2)

 

5,741 

 

 

6,648 

Joint revenue sharing arrangements – fixed fees(2)

 

88 

 

 

504 

Theater system maintenance

 

4,249 

 

 

3,439 

Other theater

 

430 

 

 

(32)

 

 

10,508 

 

 

10,559 

 

 

 

 

 

 

New business

 

(337)

 

 

(225)

 

 

 

 

 

 

Other

 

 

 

 

 

Film post-production

 

1,101 

 

 

1,249 

Film distribution(2)

 

(3,764)

 

 

(679)

Other

 

(142)

 

 

(225)

 

 

(2,805)

 

 

345 

 

 

 

 

 

 

Total

$ 

35,771 

 

$ 

52,176 

 

Geographic Information

 

 

Three Months Ended

 

 

March 31,

 

 

2017

 

 

2016

Revenue

 

 

 

 

 

 

United States

 

$ 

25,198 

 

$ 

35,544 

Canada

 

 

3,282 

 

 

7,077 

Greater China

 

 

18,590 

 

 

24,939 

Asia (excluding Greater China)

 

 

8,429 

 

 

5,559 

Western Europe

 

 

5,813 

 

 

11,486 

Russia & the CIS

 

 

3,183 

 

 

1,692 

Latin America

 

 

1,654 

 

 

3,527 

Rest of the World

 

 

2,508 

 

 

2,304 

Total

 

$ 

68,657 

 

$ 

92,128 

 

XML 45 R34.htm IDEA: XBRL DOCUMENT v3.7.0.1
Employees Pension and Postretirement Benefits (Tables)
3 Months Ended
Mar. 31, 2017
Defined Benefit Plan Disclosure [Line Items]  
Amounts accrued

 

March 31,

 

December 31,

 

2017

 

2016

Projected benefit obligation:

 

 

 

 

 

Obligation, beginning of period

$ 

19,580 

 

$ 

19,478 

Interest cost

 

107 

 

 

261 

Actuarial gain

 

- 

 

 

(159)

Obligation, end of period and unfunded status

$ 

19,687 

 

$ 

19,580 

 

SERP Benefits [Member]  
Defined Benefit Plan Disclosure [Line Items]  
Pension Expense

 

 

Three Months Ended

 

 

March 31,

 

 

2017

 

2016

Interest cost

 

$ 

107 

 

$ 

65 

Pension expense

 

$ 

107 

 

$ 

65 

 

Schedule of expected benefit payments

2017 (nine months remaining)

$ 

- 

2018

 

- 

2019

 

- 

2020

 

21,115 

2021

 

- 

Thereafter

 

- 

 

$ 

21,115 

 

Postretirement Benefits Executives [Member]  
Defined Benefit Plan Disclosure [Line Items]  
Schedule of expected benefit payments

2017 (nine months remaining)

$ 

21 

2018

 

24 

2019

 

26 

2020

 

33 

2021

 

36 

Thereafter

 

514 

Total

$ 

654 

 

Postretirement Benefits Canadian Employees [Member]  
Defined Benefit Plan Disclosure [Line Items]  
Schedule of expected benefit payments

2017 (nine months remaining)

$ 

92 

2018

 

99 

2019

 

105 

2020

 

108 

2021

 

110 

Thereafter

 

1,244 

Total

$ 

1,758 

 

XML 46 R35.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments (Tables)
3 Months Ended
Mar. 31, 2017
Financial Instruments [Abstract]  
Fair Value of Financial Instruments

The carrying values of the Company’s cash and cash equivalents, accounts receivable, accounts payable and accrued liabilities due within one year approximate fair values due to the short-term maturity of these instruments. The Company’s other financial instruments are comprised of the following:

 

 

 

As at March 31, 2017

 

 

As at December 31, 2016

 

 

Carrying

 

 

Estimated

 

 

Carrying

 

 

Estimated

 

 

Amount

 

 

Fair Value

 

 

Amount

 

 

Fair Value

Cash and cash equivalents

$ 

190,481 

 

$ 

190,481 

 

$ 

204,759 

 

$ 

204,759 

Net financed sales receivable

$ 

112,682 

 

$ 

113,792 

 

$ 

114,041 

 

$ 

115,014 

Net investment in sales-type leases

$ 

7,808 

 

$ 

8,163 

 

$ 

8,084 

 

$ 

8,372 

Convertible loan receivable

$ 

1,000 

 

$ 

1,000 

 

$ 

1,000 

 

$ 

1,000 

Available-for-sale investment

$ 

1,000 

 

$ 

1,010 

 

$ 

1,000 

 

$ 

1,007 

Foreign exchange contracts — designated forwards

$ 

302 

 

$ 

302 

 

$ 

(296)

 

$ 

(296)

Borrowings under the Playa Vista Loan

$ 

(27,167)

 

$ 

(27,167)

 

$ 

(27,667)

 

$ 

(27,667)

 

 

Recorded Investment in Financing Receivables

The following table discloses the recorded investment in financing receivables by credit quality indicator:

 

 

As at March 31, 2017

 

As at December 31, 2016

 

Minimum

 

Financed

 

 

 

Minimum

 

Financed

 

 

 

Lease

 

Sales

 

 

 

Lease

 

Sales

 

 

 

Payments

 

Receivables

 

Total

 

Payments

 

Receivables

 

Total

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

In good standing

$ 

7,465 

 

$ 

110,249 

 

$ 

117,714 

 

$ 

7,741 

 

$ 

111,568 

 

$ 

119,309 

Credit Watch

 

- 

 

 

1,683 

 

 

1,683 

 

 

- 

 

 

1,514 

 

 

1,514 

Pre-approved transactions

 

- 

 

 

633 

 

 

633 

 

 

- 

 

 

842 

 

 

842 

Transactions suspended

 

1,015 

 

 

611 

 

 

1,626 

 

 

1,015 

 

 

611 

 

 

1,626 

 

$ 

8,480 

 

$ 

113,176 

 

$ 

121,656 

 

$ 

8,756 

 

$ 

114,535 

 

$ 

123,291 

 

Investment In Financing Receivables On Nonaccrual Status

The Company’s investment in financing receivables on nonaccrual status is as follows:

 

 

 

As at March 31, 2017

 

As at December 31, 2016

 

 

Recorded

 

Related

 

Recorded

 

Related

 

 

Investment

 

Allowance

 

Investment

 

Allowance

 

 

 

 

 

 

 

 

 

 

 

 

 

Net investment in leases

 

$ 

1,015 

 

$ 

(672)

 

$ 

1,015 

 

$ 

(672)

Net financed sales receivables

 

 

611 

 

 

(494)

 

 

611 

 

 

(494)

Total

 

$ 

1,626 

 

$ 

(1,166)

 

$ 

1,626 

 

$ 

(1,166)

 

 

Aging of Financing Receivables

The Company’s aged financing receivables are as follows:

 

 

 

As at March 31, 2017

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Related

 

 

 

 

 

 

 

Recorded

 

 

Accrued

 

 

 

 

 

 

 

Billed

 

Unbilled

 

Total

 

 

 

 

Investment

 

 

and

 

30-89

 

 

 

 

Financing

 

Recorded

 

Recorded

 

Related

 

Net of

 

 

Current

 

Days

 

90+ Days

 

Receivables

 

Investment

 

Investment

 

Allowances

 

Allowances

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net investment in leases

 

$ 

41 

 

$ 

94 

 

$ 

763 

 

$ 

898 

 

$ 

7,582 

 

$ 

8,480 

 

$ 

(672)

 

$ 

7,808 

Net financed sales receivables

 

 

1,884 

 

 

2,379 

 

 

2,879 

 

 

7,142 

 

 

106,035 

 

 

113,176 

 

 

(494)

 

 

112,682 

Total

 

$ 

1,925 

 

$ 

2,473 

 

$ 

3,642 

 

$ 

8,040 

 

$ 

113,617 

 

$ 

121,656 

 

$ 

(1,166)

 

$ 

120,490 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

As at December 31, 2016

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Related

 

 

 

 

 

 

 

Recorded

 

 

Accrued

 

 

 

 

 

 

 

Billed

 

Unbilled

 

Total

 

 

 

 

Investment

 

 

and

 

30-89

 

 

 

 

Financing

 

Recorded

 

Recorded

 

Related

 

Net of

 

 

Current

 

Days

 

90+ Days

 

Receivables

 

Investment

 

Investment

 

Allowances

 

Allowances

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net investment in leases

 

$ 

28 

 

$ 

159 

 

$ 

781 

 

$ 

968 

 

$ 

7,788 

 

$ 

8,756 

 

$ 

(672)

 

$ 

8,084 

Net financed sales receivables

 

 

2,393 

 

 

1,724 

 

 

2,368 

 

 

6,485 

 

 

108,050 

 

 

114,535 

 

 

(494)

 

 

114,041 

Total

 

$ 

2,421 

 

$ 

1,883 

 

$ 

3,149 

 

$ 

7,453 

 

$ 

115,838 

 

$ 

123,291 

 

$ 

(1,166)

 

$ 

122,125 

 

Financing receivables continues to accrue finance income

The Company’s recorded investment in past due financing receivables for which the Company continues to accrue finance income is as follows:

 

 

 

As at March 31, 2017

 

 

 

 

 

 

 

 

 

 

Related

 

 

 

 

Recorded

 

 

Accrued

 

 

 

 

 

Billed

 

Unbilled

 

 

 

Investment

 

 

and

 

 

 

 

 

Financing

 

Recorded

 

Related

 

Past Due

 

 

Current

 

30-89 Days

 

90+ Days

 

Receivables

 

Investment

 

Allowance

 

and Accruing

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net investment in leases

 

$ 

38 

 

$ 

61 

 

$ 

293 

 

$ 

392 

 

$ 

2,237 

 

$ 

- 

 

$ 

2,629 

Net financed sales receivables

 

 

146 

 

 

968 

 

 

2,280 

 

 

3,394 

 

 

25,876 

 

 

- 

 

 

29,270 

Total

 

$ 

184 

 

$ 

1,029 

 

$ 

2,573 

 

$ 

3,786 

 

$ 

28,113 

 

$ 

- 

 

$ 

31,899 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

As at December 31, 2016

 

 

 

 

 

 

 

 

 

 

Related

 

 

 

 

Recorded

 

 

Accrued

 

 

 

 

 

Billed

 

Unbilled

 

 

 

Investment

 

 

and

 

 

 

 

 

Financing

 

Recorded

 

Related

 

Past Due

 

 

Current

 

30-89 Days

 

90+ Days

 

Receivables

 

Investment

 

Allowance

 

and Accruing

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net investment in leases

 

$ 

- 

 

$ 

54 

 

$ 

244 

 

$ 

298 

 

$ 

1,646 

 

$ 

- 

 

$ 

1,944 

Net financed sales receivables

 

 

284 

 

 

634 

 

 

1,854 

 

 

2,772 

 

 

20,147 

 

 

- 

 

 

22,919 

Total

 

$ 

284 

 

$ 

688 

 

$ 

2,098 

 

$ 

3,070 

 

$ 

21,793 

 

$ 

- 

 

$ 

24,863 

 

 

Impaired financing receivables

The following table discloses information regarding the Company’s impaired financing receivables:

 

 

For the Three Months Ended March 31, 2017

 

 

 

 

 

 

 

Average

 

Interest

 

Recorded

 

Unpaid

 

Related

 

Recorded

 

Income

 

Investment

 

Principal

 

Allowance

 

Investment

 

Recognized

Recorded investment for which there is a related allowance:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

$ 

525 

 

$ 

75 

 

$ 

(494)

 

$ 

525 

 

$ 

- 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Recorded investment for which there is no related allowance:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

 

- 

 

 

- 

 

 

- 

 

 

- 

 

 

- 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total recorded investment in impaired loans:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

$ 

525 

 

$ 

75 

 

$ 

(494)

 

$ 

525 

 

$ 

- 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

For the Three Months Ended March 31, 2016

 

 

 

 

 

 

 

Average

 

Interest

 

Recorded

 

Unpaid

 

Related

 

Recorded

 

Income

 

Investment

 

Principal

 

Allowance

 

Investment

 

Recognized

Recorded investment for which there is a related allowance:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

$ 

748 

 

$ 

414 

 

$ 

(643)

 

$ 

748 

 

$ 

- 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Recorded investment for which there is no related allowance:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

 

- 

 

 

- 

 

 

- 

 

 

- 

 

 

- 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Total recorded investment in impaired loans:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Net financed sales receivables

$ 

748 

 

$ 

414 

 

$ 

(643)

 

$ 

748 

 

$ 

- 

 

 

Allowance for credit losses and investment in financing receivables

The Company’s activity in the allowance for credit losses for the period and the Company’s recorded investment in financing receivables are as follows:

 

 

Three Months Ended March 31, 2017

 

Three Months Ended March 31, 2016

 

Net Investment

 

Net Financed

 

Net Investment

 

Net Financed

 

in Leases

 

Sales Receivables

 

in Leases

 

Sales Receivables

Allowance for credit losses:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Beginning balance

$ 

672 

 

$ 

494 

 

$ 

672 

 

$ 

568 

Charge-offs

 

- 

 

 

- 

 

 

- 

 

 

- 

Recoveries

 

- 

 

 

- 

 

 

- 

 

 

- 

Provision

 

- 

 

 

- 

 

 

- 

 

 

75 

Ending balance

$ 

672 

 

$ 

494 

 

$ 

672 

 

$ 

643 

 

 

 

 

 

 

 

 

 

 

 

 

Ending balance: individually evaluated for impairment

$ 

672 

 

$ 

494 

 

$ 

672 

 

$ 

643 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Financing receivables:

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

 

Ending balance: individually evaluated for impairment

$ 

8,480 

 

$ 

113,176 

 

$ 

10,577 

 

$ 

110,387 

 

Notional amount of derivative

Notional value of foreign exchange contracts:

 

 

March 31,

 

December 31,

 

2017

 

2016

Derivatives designated as hedging instruments:

 

 

 

 

 

Foreign exchange contracts — Forwards

$ 

39,802 

 

$ 

37,825 

 

 

Fair value of foreign exchange contracts

Fair value of derivatives in foreign exchange contracts:

 

 

 

March 31,

 

December 31,

 

Balance Sheet Location

2017

 

2016

Derivatives designated as hedging instruments:

 

 

 

 

 

 

Foreign exchange contracts — Forwards

Other assets

$ 

604 

 

$ 

480 

 

Accrued and other liabilities

 

(302)

 

 

(776)

 

 

$ 

302 

 

$ 

(296)

 

Derivatives in Foreign Currency Hedging relationships

 

 

 

Three Months Ended March 31,

 

 

 

 

2017

 

 

2016

Foreign exchange contracts — Forwards

Derivative Gain

 

 

 

 

 

 

 

Recognized in OCI

 

 

 

 

 

 

 

(Effective Portion)

 

$ 

313 

 

$ 

2,207 

 

 

 

 

 

 

 

 

 

Location of Derivative Loss

 

 

 

 

 

 

 

Reclassified from AOCI

 

Three Months Ended March 31,

 

into Income (Effective Portion)

 

 

2017

 

 

2016

Foreign exchange contracts — Forwards

Selling, general and

 

 

 

 

 

 

 

administrative expenses

 

$ 

(285)

 

$ 

(1,277)

 

 

 

 

Three Months Ended March 31,

 

 

 

 

2017

 

 

2016

Foreign exchange contracts - Forwards

Derivative Loss

 

 

 

 

 

 

 

Recognized In and Out of

 

 

 

 

 

 

 

OCI (Effective Portion)

 

$ 

(47)

 

$ 

- 

 

XML 47 R36.htm IDEA: XBRL DOCUMENT v3.7.0.1
Non-Controlling Interests (Tables)
3 Months Ended
Mar. 31, 2017
IMAX China Noncontrolling Interest  
Non-controlling Interests  
Non-controlling Interests

Balance as at December 31, 2016

 

 

 

 

 

$ 

59,562 

Net income

 

 

 

 

 

 

1,463 

Other comprehensive loss

 

 

 

 

 

 

146 

Balance as at March 31, 2017

 

 

 

 

 

$ 

61,171 

 

Other Noncontrolling Interest [Member]  
Non-controlling Interests  
Non-controlling Interests

Balance as at December 31, 2016

 

 

 

$ 

4,980 

Net loss

 

 

 

 

(2,425)

Balance as at March 31, 2017

 

 

 

$ 

2,555 

 

XML 48 R37.htm IDEA: XBRL DOCUMENT v3.7.0.1
Basis of Presentation (Details) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Dec. 31, 2016
Basis of Presentation (Textuals) [Abstract]      
Number Of Variable Interest Entities 9    
Number Of Variable Interest Entities Primary Beneficiary 4    
Number Of Variable Interest Entities Not A Primary Beneficiary 5    
Variable interest entity, non-consolidated, Assets $ 0.4    
Variable interest entity, non-consolidated, Liabilities 0.4    
Variable Interest Entity, Primary Beneficiary [Member]      
Basis of Presentation (Textuals) [Abstract]      
Variable interest entity, consolidated, Assets 5.8   $ 10.3
Variable interest entity, consolidated, Liabilities 6.5   6.4
Variable Interest Entity, Not Primary Beneficiary [Member]      
Basis of Presentation (Textuals) [Abstract]      
Variable interest entity, non-consolidated, Assets 0.4   0.4
Variable interest entity, non-consolidated, Liabilities 0.4   0.4
Earnings of the investees 0.0 $ 0.0  
Carrying value of film production company VIEs 0.0   0.0
Loss exposure $ 0.0   $ 0.0
XML 49 R38.htm IDEA: XBRL DOCUMENT v3.7.0.1
New Accounting Standards And Accounting Changes (Details)
$ in Thousands
3 Months Ended
Mar. 31, 2017
USD ($)
New Accounting Pronouncements and Changes in Accounting Principles  
Impact on accumulated deficit due to adoption of ASU 2016-16 $ 8,314
Impact on other assets due to adoption of ASU 2016-16 (14,800)
Impact on deferred taxes due to adoption of ASU 2016-16 7,900
Impact on accrued and other liabilities due to adoption of ASU 2016-16 $ 1,400
XML 50 R39.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financing Receivables (Details) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Financing receivables, consisting of net investment in sales-type leases and receivables from financed sales    
Gross minimum lease payments receivable $ 10,119 $ 10,466
Unearned finance income (1,639) (1,710)
Minimum lease payments receivable 8,480 8,756
Accumulated allowance for uncollectible amounts (672) (672)
Net investment in leases 7,808 8,084
Gross financed sales receivables 151,561 154,301
Unearned finance income (38,385) (39,766)
Financed sales receivables 113,176 114,535
Accumulated allowance for uncollectible amounts (494) (494)
Net financed sales receivables 112,682 114,041
Total financing receivables 120,490 122,125
Net financed sales receivables due within one year 22,645 21,980
Net financed sales receivables due after one year $ 90,037 $ 92,061
XML 51 R40.htm IDEA: XBRL DOCUMENT v3.7.0.1
Inventories (Details) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Inventories    
Raw materials $ 31,565 $ 28,000
Work-in-process 3,994 3,818
Finished goods 9,874 10,303
Total $ 45,433 $ 42,121
XML 52 R41.htm IDEA: XBRL DOCUMENT v3.7.0.1
Property Plant and Equipment (Details) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Property, plant and equipment    
Cost $ 387,661 $ 378,203
Accumulated Depreciation 139,433 132,788
Net Book Value 248,228 245,415
Equipment leased or held for use [Member]    
Property, plant and equipment    
Cost 233,626 230,629
Accumulated Depreciation 97,159 92,950
Net Book Value 136,467 137,679
Theater System Components [Member]    
Property, plant and equipment    
Cost 227,636 224,890
Accumulated Depreciation 93,280 89,218
Net Book Value 134,356 135,672
Camera Equipment [Member]    
Property, plant and equipment    
Cost 5,990 5,739
Accumulated Depreciation 3,879 3,732
Net Book Value 2,111 2,007
Assets Under Construction [Member]    
Property, plant and equipment    
Cost 22,175 18,315
Accumulated Depreciation 0 0
Net Book Value 22,175 18,315
Other property, plant and equipment [Member]    
Property, plant and equipment    
Cost 131,860 129,259
Accumulated Depreciation 42,274 39,838
Net Book Value 89,586 89,421
Land [Member]    
Property, plant and equipment    
Cost 8,203 8,203
Accumulated Depreciation 0 0
Net Book Value 8,203 8,203
Buildings [Member]    
Property, plant and equipment    
Cost 70,692 69,861
Accumulated Depreciation 15,439 14,877
Net Book Value 55,253 54,984
Office and Production Equipment [Member]    
Property, plant and equipment    
Cost 42,513 41,128
Accumulated Depreciation 23,412 21,935
Net Book Value 19,101 19,193
Leasehold Improvements [Member]    
Property, plant and equipment    
Cost 10,452 10,067
Accumulated Depreciation 3,423 3,026
Net Book Value $ 7,029 $ 7,041
XML 53 R42.htm IDEA: XBRL DOCUMENT v3.7.0.1
Other Intangible Assets (Details) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Other Intangible Assets    
Other Intangible Assets, Cost $ 49,431 $ 49,237
Other Intangible Assets, Accumulated Amortization 18,325 18,821
Other Intangible Assets, Net Book Value 31,106 30,416
Patents and Trademarks [Member]    
Other Intangible Assets    
Other Intangible Assets, Cost 11,578 11,395
Other Intangible Assets, Accumulated Amortization 7,216 7,046
Other Intangible Assets, Net Book Value 4,362 4,349
Licenses and Intellectual Property [Member]    
Other Intangible Assets    
Other Intangible Assets, Cost 21,167 22,490
Other Intangible Assets, Accumulated Amortization 6,522 7,620
Other Intangible Assets, Net Book Value 14,645 14,870
Other [Member]    
Other Intangible Assets    
Other Intangible Assets, Cost 16,686 15,352
Other Intangible Assets, Accumulated Amortization 4,587 4,155
Other Intangible Assets, Net Book Value $ 12,099 $ 11,197
XML 54 R43.htm IDEA: XBRL DOCUMENT v3.7.0.1
Credit Facility and Playa Vista Loan (Details) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Bank indebtedness [Line Items]    
Total bank indebtedness $ 26,826 $ 27,316
Playa Vista Loan [Member]    
Bank indebtedness [Line Items]    
Playa Vista Loan 27,167 27,667
Deferred charges on debt financing (341) (351)
Total bank indebtedness 26,826 27,316
Playa Vista loan principal payments    
2017 (nine months remaining) 1,500  
2018 2,000  
2019 2,000  
2020 2,000  
2021 2,000  
Thereafter 17,667  
Playa Vista Loan $ 27,167 $ 27,667
XML 55 R44.htm IDEA: XBRL DOCUMENT v3.7.0.1
Condensed Consolidated Statement of Operations Supplemental Information (Details)
$ in Thousands
3 Months Ended
Mar. 31, 2017
USD ($)
yr
Film
exhibitor
Theaters
Mar. 31, 2016
USD ($)
Film
Selling Expenses    
Deferred direct selling costs and direct advertising and marketing included in costs and expenses applicable to revenues-equipment and product sales $ 400 $ 700
Film exploitation costs, including advertising and marketing included in costs and expenses applicable to revenues-services 2,400 $ 3,000
Commissions recognized as cost and expenses included in costs and expenses applicable to revenues-rentals   less than
Commissions recognized as cost and expenses included in costs and expenses applicable to revenues-rentals 100 $ (100)
Direct advertising and marketing costs included in costs and expenses applicable to revenues-rentals   less than
Direct advertising and marketing costs included in costs and expenses applicable to revenues-rentals $ 300 $ 100
Foreign Exchange    
Foreign exchange translation loss (gain) less than  
Foreign exchange translation loss (gain) $ 100 (500)
Collaborative Arrangements    
Total number of exhibitors under joint revenue sharing agreements | exhibitor 46  
Total number of theater systems under joint revenue sharing agreements | Theaters 997  
Total number of operating theaters under joint revenue sharing agreement | Theaters 649  
Amounts attributable to transactions arising between the company and its customers under joint revenue sharing arrangements $ 15,700 $ 23,400
Average percentage of the box-office receipts of the film for recovering digital re-mastering cost 12.50%  
IMAX DMR films exhibited in the period | Film 18 17
Amounts attributable to transactions arising between the company and its customers under IMAX DMR arrangements $ 23,408 $ 29,805
Number of significant co-produced film arrangement | Film 1  
Number of other co-produced film arrangements | Film 4  
Variable interest entity, non-consolidated, Assets $ 400  
Variable interest entity, non-consolidated, Liabilities 400  
Amounts attributable to transactions between the company and other parties involved in the production of films included in cost and expense $ 500 $ 200
Minimum [Member]    
Collaborative Arrangements    
Non-cancellable term of joint revenue sharing arrangements | yr 10  
Maximum [Member]    
Collaborative Arrangements    
Non-cancellable term of joint revenue sharing arrangements longer  
XML 56 R45.htm IDEA: XBRL DOCUMENT v3.7.0.1
Condensed Consolidated Statements of Cash Flows Supplemental Information (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Decrease (increase) in:    
Accounts receivable $ 161 $ 6,070
Financing receivables 1,763 (1,748)
Inventories (3,312) (5,994)
Prepaid expenses (1,421) (2,345)
Commissions and other deferred selling expenses (228) 34
Insurance recoveries (96) 132
Other assets 100 (441)
Increase (decrease) in:    
Accounts payable (6,041) (2,470)
Accrued and other Liabilities (18,825) (12,023)
Deferred revenue 10,619 (2,998)
Changes in other non-cash operating assets and liabilities (17,280) (21,783)
Cash payments    
Income taxes 7,270 12,051
Interest $ 190 $ 180
XML 57 R46.htm IDEA: XBRL DOCUMENT v3.7.0.1
Income Taxes (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Unrealized change in cash flow hedging instruments $ (82) $ (574)
Realized change in cash flow hedging instruments upon settlement (75) (332)
Amortization of actuarial loss on postretirement benefit plan 0 (5)
Income tax effect on other comprehensive income $ (157) $ (911)
XML 58 R47.htm IDEA: XBRL DOCUMENT v3.7.0.1
Capital Stock (Details) - Employee Stock Option [Member]
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Weighted average fair value of common share granted to employees and directors    
Average risk-free interest rate 2.40% 1.72%
Expected volatility 30.00% 30.00%
Dividend yield 0.00% 0.00%
Minimum [Member]    
Weighted average fair value of common share granted to employees and directors    
Expected option life (in years) 4 years 8 months 16 days 4 years 9 months 14 days
Maximum [Member]    
Weighted average fair value of common share granted to employees and directors    
Expected option life (in years) 5 years 9 months 29 days 4 years 10 months 17 days
XML 59 R48.htm IDEA: XBRL DOCUMENT v3.7.0.1
Segmented Information (Details) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Revenues    
Revenues $ 68,657 $ 92,128
Gross margins    
Gross margins 35,771 52,176
Network Business Total [Member]    
Revenues    
Revenues [1] 39,329 52,307
Gross margins    
Gross margins 28,405 41,497
IMAX DMR [Member]    
Revenues    
Revenues [1] 23,408 29,805
Gross margins    
Gross margins [2] 17,467 22,823
Joint revenue sharing arrangements - contingent rent [Member]    
Revenues    
Revenues [1] 15,233 21,315
Gross margins    
Gross margins [2] 10,250 17,487
IMAX systems - contingent rent [Member]    
Revenues    
Revenues [1] 688 1,187
Gross margins    
Gross margins 688 1,187
Theater Business Total [Member]    
Revenues    
Revenues [1] 23,207 35,057
Gross margins    
Gross margins 10,508 10,559
IMAX Systems [Member]    
Revenues    
Revenues [1] 9,527 20,674
Gross margins    
Gross margins [2] 5,741 6,648
Joint revenue sharing arrangements - fixed fees [Member]    
Revenues    
Revenues [1] 470 2,070
Gross margins    
Gross margins [2] 88 504
Theater system maintenance [Member]    
Revenues    
Revenues [1] 11,045 9,826
Gross margins    
Gross margins 4,249 3,439
Other theater [Member]    
Revenues    
Revenues [1] 2,165 2,487
Gross margins    
Gross margins 430 (32)
New Business [Member]    
Revenues    
Revenues [1] 1,280 0
Gross margins    
Gross margins (337) (225)
Other Total [Member]    
Revenues    
Revenues [1] 4,841 4,764
Gross margins    
Gross margins (2,805) 345
Film post-production [Member]    
Revenues    
Revenues [1] 3,072 2,407
Gross margins    
Gross margins 1,101 1,249
Film distribution [Member]    
Revenues    
Revenues [1] 512 363
Gross margins    
Gross margins [2] (3,764) (679)
Other [Member]    
Revenues    
Revenues [1] 1,257 1,994
Gross margins    
Gross margins $ (142) $ (225)
[1] The Company’s largest customer represented 17.2% of total revenues for the three months ended March 31, 2017 (2016 — 16.0%).
[2] IMAX DMR segment margins include marketing costs of $2.6 million for the three months ended March 31, 2017 (2016 — $2.3 million). Joint revenue sharing arrangements segment margins include advertising, marketing and commission costs of $0.4 million for the three months ended March 31, 2017 (2016 — $0.1 million). IMAX systems segment margins include marketing and commission costs of $0.4 million for the three months ended March 31, 2017 (2016 — $0.5 million). Film distribution segment margins include a marketing recovery of $0.2 million for the three months ended March 31, 2017 (2016 — expense of $0.7 million).
XML 60 R49.htm IDEA: XBRL DOCUMENT v3.7.0.1
Employees Pension and Postretirement Benefits (Details) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Dec. 31, 2016
Amounts Accrued      
Interest cost $ 107 $ 65  
Pension Expense      
Interest cost 107 65  
Pension expense 107 65  
Pension Plans, Defined Benefit [Member]      
Amounts Accrued      
Obligation, beginning of period 19,580 19,478 $ 19,478
Interest cost 107 65 261
Actuarial gain 0   (159)
Obligation, end of period and unfunded status 19,687   19,580
Pension Expense      
Interest cost 107 65 $ 261
Pension expense $ 107 $ 65  
XML 61 R50.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments (Details) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Mar. 31, 2016
Dec. 31, 2015
Other Financial Instrument        
Cash and cash equivalents $ 190,481 $ 204,759 $ 259,752 $ 317,449
Net financed sales receivable 112,682 114,041    
Net investment in sales-type leases 7,808 8,084    
Convertible loan receivable   1,000    
Available-for-sale preferred shares 1,500      
Foreign exchange contracts - designated forwards 302 (296)    
Carrying (Reported) Amount, Fair Value Disclosure [Member] | Fair Value, Inputs, Level 1 [Member]        
Other Financial Instrument        
Cash and cash equivalents 190,481 204,759    
Carrying (Reported) Amount, Fair Value Disclosure [Member] | Fair Value, Inputs, Level 2 [Member]        
Other Financial Instrument        
Net financed sales receivable 112,682 114,041    
Net investment in sales-type leases 7,808 8,084    
Convertible loan receivable 1,000 1,000    
Available-for-sale investment 1,000 1,000    
Borrowings under the Playa Vista Loan (27,167) (27,667)    
Carrying (Reported) Amount, Fair Value Disclosure [Member] | Designated as Hedging Instrument [Member] | Fair Value, Inputs, Level 2 [Member]        
Other Financial Instrument        
Foreign exchange contracts - designated forwards 302 (296)    
Estimate of Fair Value, Fair Value Disclosure [Member] | Fair Value, Inputs, Level 1 [Member]        
Other Financial Instrument        
Cash and cash equivalents 190,481 204,759    
Estimate of Fair Value, Fair Value Disclosure [Member] | Fair Value, Inputs, Level 2 [Member]        
Other Financial Instrument        
Net financed sales receivable 113,792 115,014    
Net investment in sales-type leases 8,163 8,372    
Convertible loan receivable 1,000 1,000    
Available-for-sale investment 1,010 1,007    
Borrowings under the Playa Vista Loan (27,167) (27,667)    
Estimate of Fair Value, Fair Value Disclosure [Member] | Designated as Hedging Instrument [Member] | Fair Value, Inputs, Level 2 [Member]        
Other Financial Instrument        
Foreign exchange contracts - designated forwards $ 302 $ (296)    
XML 62 R51.htm IDEA: XBRL DOCUMENT v3.7.0.1
Non-Controlling Interests (Details) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Dec. 31, 2015
Non-controlling Interests      
Net income (loss) $ (962) $ 2,650  
IMAX China Noncontrolling Interest      
Non-controlling Interests      
Balance as at December 31, 2016 59,562    
Net income (loss) 1,463    
Other comprehensive loss 146    
Dividends paid to non-controlling interests     $ (9,500)
Balance as at March 31, 2017 61,171    
Other Noncontrolling Interest [Member]      
Non-controlling Interests      
Balance as at December 31, 2016 4,980    
Net income (loss) (2,425)    
Balance as at March 31, 2017 $ 2,555    
XML 63 R52.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financing Receivables (Details Textuals)
Mar. 31, 2017
Dec. 31, 2016
Financing Receivables (Textuals) [Abstract]    
Financed sale receivables, Weighted average effective interest rate 9.30% 9.30%
XML 64 R53.htm IDEA: XBRL DOCUMENT v3.7.0.1
Inventories (Details Textuals) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Dec. 31, 2016
Inventories (Textuals) [Abstract]      
Finished goods inventory with title passed to customer $ 3,300   $ 2,300
Write-downs for excess and obsolete inventory $ 0 $ 184  
XML 65 R54.htm IDEA: XBRL DOCUMENT v3.7.0.1
Other Intangible Assets (Details 1)
$ in Thousands
Mar. 31, 2017
USD ($)
Other Intangible Assets [Abstract]  
2017 (nine months remaining) $ 2,774
2018 3,699
2019 3,699
2020 3,699
2021 $ 3,699
XML 66 R55.htm IDEA: XBRL DOCUMENT v3.7.0.1
Other Intangible Assets (Details Textuals) - USD ($)
$ in Millions
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Other Intangible Assets (Textuals) [Abstract]    
Other Intangible Asset, comprised mainly of ERP System $ 16.7  
Acquisition of other intangible assets, cost $ 1.6  
Weighted average amortization period for additions to other intangible assets P10Y  
Costs incurred to renew or extend the term of acquired other intangible assets $ 0.1 $ 0.1
XML 67 R56.htm IDEA: XBRL DOCUMENT v3.7.0.1
Credit Facility and Playa Vista Loan (Details Textuals) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Dec. 31, 2016
Mar. 03, 2015
Playa Vista Loan [Member]        
Credit Facility and Playa Vista Loan (Textuals) [Abstract]        
Maximum borrowing capacity $ 30,000      
Amounts Drawn $ 27,167   $ 27,667  
Interest rate description variable rate per annum at 2.0% above the 30-day LIBOR rate      
Effective interest rate 2.85% 2.43%    
Maturity date Oct. 19, 2025      
Term of loan 120 months      
Playa Vista Loan - Payment Terms PV Borrower will be required to make monthly payments of combined principal and interest over a 10-year term with a lump sum payment at the end of year 10. The Playa Vista Loan is being amortized over 15 years. The Playa Vista Loan will be fully due and payable on October 19, 2025.      
Playa Vista Loan - Security The Playa Vista Loan is secured by a deed of trust from PV Borrower in favor of Wells Fargo, granting a first lien on and security interest in the Playa Vista property and the Playa Vista Project, including all improvements to the constructed thereon, and other documents evidencing and securing the loan (the "Loan Documents").      
Credit Facility [Member]        
Credit Facility and Playa Vista Loan (Textuals) [Abstract]        
Credit Facility Maturity Date Mar. 03, 2020      
Maximum borrowing capacity       $ 200,000
Remaining Borrowing Capacity $ 200,000   200,000  
Amounts Drawn 0   0  
Letters of credit and advance payment guarantees $ 0   0  
Line of credit facility covenant terms On February 22, 2016, the Company amended the terms of the Credit Agreement to increase the general restricted payment basket thereunder (which covers, among other things, the repurchase of shares) from $150 million to $350 million in the aggregate after the amendment date.      
Compliance with covenants The Company was in compliance with all of its requirements at March 31, 2017.      
Wells Fargo Foreign Exchange Facility [Member]        
Credit Facility and Playa Vista Loan (Textuals) [Abstract]        
Settlement risk on its foreign currency forward contracts $ 0      
Notional Amount of arrangements entered into 39,802      
Bank of Montreal Facilities [Member]        
Credit Facility and Playa Vista Loan (Textuals) [Abstract]        
Remaining Borrowing Capacity 10,000   10,000  
Letters of credit and advance payment guarantees $ 0   $ 100  
XML 68 R57.htm IDEA: XBRL DOCUMENT v3.7.0.1
Contingencies and Guarantees (Details Textuals) - USD ($)
$ in Thousands
3 Months Ended 12 Months Ended 25 Months Ended 51 Months Ended 95 Months Ended
Mar. 31, 2017
Dec. 31, 2016
Dec. 14, 2015
Mar. 27, 2008
Dec. 02, 2011
Final Award in favor of company       Amount of $11.3 million plus an additional $2,512 each day in interest from October 1, 2007 until the date the award is paid $30,000 to cover the costs of the application
Damages sought     $ 10,400    
Counterclaim sought     $ 24,000    
Duties and taxes paid related to customs audit $ 2,950        
Underpayment of the freight and insurance portion of the customs duties and taxes related to the customs audit 100        
Financial Guarantees $ 0        
Product Warranty Accrual less than less than      
Product Warranty Accrual $ 100 $ 100      
Indemnification of its directors/officers $ 0 $ 0      
Other Indemnification 0        
XML 69 R58.htm IDEA: XBRL DOCUMENT v3.7.0.1
Condensed Consolidated Statements of Cash Flows Supplemental Information (Details 1) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Summary of Depreciation and amortization    
Film assets $ 3,805 $ 3,356
Property, plant and equipment    
Joint revenue sharing arrangements 4,246 3,738
Other property, plant and equipment 2,760 2,326
Other intangible assets 926 672
Other assets 220 205
Deferred financing costs 131 141
Depreciation and amortization $ 12,088 $ 10,438
XML 70 R59.htm IDEA: XBRL DOCUMENT v3.7.0.1
Condensed Consolidated Statements of Cash Flows Supplemental Information (Details 2) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Write-downs, net of recoveries    
Accounts receivable $ 185 $ 126
Inventories 0 184
Film assets [1] 3,416 0
Property, plant and equipment [2] 409 329
Other intangible assets 0 9
Write-downs, net of recoveries $ 4,010 $ 648
[1] The Company reviewed the carrying value of certain documentary film assets as a result of lower than expected revenue being generated during the period and revised expectations for future revenues based on the latest information available. An impairment of $3.4 million was recorded based on the carrying value of these documentary films as compared to the related estimated future box office and revenues that would ultimately be generated by these films.
[2] The Company recognized asset impairment charges of against property, plant and equipment after an assessment of the carrying value of certain assets in light of their future expected cash flows.
XML 71 R60.htm IDEA: XBRL DOCUMENT v3.7.0.1
Condensed Consolidated Statements of Cash Flows Supplemental Information (Details Textual) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Asset Impairment Charges [Abstract]    
Impairment on certain documentary film assets as a result of lower than expected revenue being generated during the period and revised expectations for future revenues based on the latest information available [1] $ 3,416 $ 0
[1] The Company reviewed the carrying value of certain documentary film assets as a result of lower than expected revenue being generated during the period and revised expectations for future revenues based on the latest information available. An impairment of $3.4 million was recorded based on the carrying value of these documentary films as compared to the related estimated future box office and revenues that would ultimately be generated by these films.
XML 72 R61.htm IDEA: XBRL DOCUMENT v3.7.0.1
Income Taxes (Details Textual) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Dec. 31, 2016
Deferred Tax Assets      
Change in Company's estimates of the recoverability of its deferred tax assets $ 0    
Deferred income tax asset after valuation allowance 29,500   $ 20,800
Deferred income tax asset before valuation allowance 29,700   21,000
Valuation allowance 200   $ 200
Provision for income taxes 114 $ 4,608  
Recovery for windfall tax benefits (300)    
Tax provision related to the portion of losses applicable to non-controlling interests in the Company's Film Fund 600    
Impact on accumulated deficit due to adoption of ASU 2016-16 8,314    
Impact on other assets due to adoption of ASU 2016-16 (14,800)    
Impact on deferred taxes due to adoption of ASU 2016-16 7,900    
Impact on accrued and other liabilities due to adoption of ASU 2016-16 $ 1,400    
Deferred tax asset reclass due to adoption of ASU 2016-09   $ 900  
XML 73 R62.htm IDEA: XBRL DOCUMENT v3.7.0.1
Capital Stock (Details 2) - $ / shares
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Option activity under the Stock Option Plan and the IMAX LTIP    
Options outstanding, end of period 5,268,603  
Employee Stock Option [Member]    
Option activity under the Stock Option Plan and the IMAX LTIP    
Granted 679,030 323,925
Granted, weighted average exercise price per share $ 32.16 $ 31.85
Exercised (584,589) (43,750)
Exercised, weighted average exercise price per share $ 22.38 $ 16.91
Forfeited (16,380) (2,042)
Forfeited, weighted average exercise price per share $ 31.69 $ 31.85
Options outstanding, end of period 5,268,603 5,083,377
Options outstanding, weighted average exercise price per share, end of period $ 29.49 $ 27.42
Options exercisable, end of period 3,945,034 3,507,573
Options exercisable, weighted average exercise price per share, end of period $ 28.68 $ 26.52
XML 74 R63.htm IDEA: XBRL DOCUMENT v3.7.0.1
Capital Stock (Details 3) - Restricted Share Units (RSUs) [Member] - $ / shares
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Resticted Share Units activity under the IMAX LTIP    
Granted 373,540 351,584
Granted, weighted average grant date fair value per share $ 32.45 $ 31.85
Vested and settled (201,793) (190,298)
Vested and settled, weighted average grant date fair value per share $ 31.25 $ 29.47
Forfeited (20,506) (3,092)
Forfeited, weighted average grant date fair value per share $ 32.31 $ 32.43
RSUs outstanding, end of period 1,275,421 1,131,831
RSUs outstanding, weighted average grant date fair value per share, end of period $ 33.13 $ 32.61
XML 75 R64.htm IDEA: XBRL DOCUMENT v3.7.0.1
Capital Stock (Details 4) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Jan. 01, 2017
Dec. 31, 2016
Jan. 01, 2016
Net income applicable to common shareholders $ 75 $ 11,302      
Weighted average number of common shares:          
Issued and outstanding, beginning of period 66,573,078   66,159,902 66,159,902 69,673,244
Weighted average number of shares issued (repurchased) during the period 202,826 (294,269)      
Weighted average number of shares used in computing basic income per share 66,362,728 69,378,975      
Assumed exercise of stock options and RSUs, net of shares assumed repurchased 817,104 740,951      
Weighted average number of shares used in computing diluted income per share 67,179,832 70,119,926      
XML 76 R65.htm IDEA: XBRL DOCUMENT v3.7.0.1
Capital Stock (Details 5) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Movement of Shareholders Equity    
Balance as at December 31, 2016 $ 562,012  
Net income attributable to common shareholders 75 $ 11,302
Retrospective adjustment related to intra-entity transfers (notes 2 and 11) (8,314)  
Adjustment to capital stock for cash received from issuance of common shares 13,082  
Adjustment to capital stock for issuance of common shares for vested RSUs 273  
Adjustment to capital stock for fair value of stock options exercised at the grant date 3,270  
Adjustment to capital stock for share held in treasury 1,160  
Adjustment to other equity for employee stock options granted 1,596  
Adjustment to other equity for non-employee stock options granted and vested 17  
Adjustment to other equity for fair value of stock options exercised at the grant date (3,270)  
Adjustment to other equity for RSUs granted 3,554  
Adjustment to other equity for RSUs vested (6,506)  
Adjustment to other equity for stock exercised from treasury shares (7,025)  
Adjustment to accumulated other comprehensive loss for unrealized net gain from cash flow hedging instruments 313  
Adjustment to accumulated other comprehensive loss for the realization of cash flow hedging net loss upon settlement 285  
Adjustment to accumulated other comprehensive loss for foreign currency translation adjustments 312  
Adjustment to accumulated other comprehensive loss for tax effect of movement in other comprehensive income (157)  
Balance as at March 31, 2017 $ 560,677  
XML 77 R66.htm IDEA: XBRL DOCUMENT v3.7.0.1
Capital Stock (Details Textual) - USD ($)
$ / shares in Units, $ in Thousands
3 Months Ended 12 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Dec. 31, 2016
Dec. 31, 2014
Jan. 01, 2017
Jun. 06, 2016
Apr. 20, 2016
Jan. 01, 2016
Jun. 16, 2014
Capital Stock (Textuals) [Abstract]                  
Share-based compensation costs recorded for the period $ 5,264 $ 5,900              
Reserved common shares for future issuance 11,226,190   12,012,572            
Options outstanding 5,268,603                
Antidilutive shares issuable upon exercise of stock options and restricted share units 1,785,013 3,245,033              
Details of the share repurchase program   On April 20, 2016 to increase the aggregate purchase allowance to $200.0 million.   On June 16, 2014, the Company’s board of directors approved a new $150.0 million share repurchase program for shares of the Company’s common stock, which program was amended on April 20, 2016 to increase the aggregate purchase allowance to $200.0 million. Purchases under the program commenced during the third quarter of 2014, and the program expires on June 30, 2017. The repurchases may be made either in the open market or through private transactions, subject to market conditions, applicable legal requirements and other relevant factors. The Company has no obligation to repurchase shares and the share repurchase program may be suspended or discontinued by the Company at any time.          
Stock Repurchase Program, Authorized Amount             $ 200,000   $ 150,000
Stock Repurchase Program Expiration Date Jun. 30, 2017                
Stock Repurchased And Retired During Period, Shares 0 1,446,418              
Stock Acquired, Average Cost per Share   $ 30.82              
Payments For Repurchase Of Common Stock $ 0 $ 44,618              
Number of treasury shares held in trust for future settlement of share based awards 23,706   64,565            
Value of treasury shares held in trust for future settlement of share based awards $ 779   $ 1,939            
Remaining available amount under share repurchase plan 46,300                
Employee Stock Option [Member]                  
Capital Stock (Textuals) [Abstract]                  
Share-based compensation costs recorded for the period 1,350 2,400              
Tax benefits realized stock options $ 400 $ 1,300              
Options exercisable 3,945,034 3,507,573              
Options outstanding 5,268,603 5,083,377     5,190,542     4,805,244  
Options outstanding, weighted average exercise price $ 29.49 $ 27.42     $ 28.35     $ 27.03  
Granted 679,030 323,925              
Weighted average fair value of options granted $ 9.08 $ 8.55              
Options exercisable intrinsic value $ 21,268                
Cancelled 0 0              
Weighted average remaining contractual life of exercisable option 4 years 7 months 6 days                
Intrinsic value of options exercised $ 6,000 $ 600              
Options common shares were vested and exercisable 3,945,034                
Options exercisable, weighted average exercise price per share, end of period $ 28.68 $ 26.52              
Antidilutive shares issuable upon exercise of stock options and restricted share units 1,613,340 2,630,005              
Number of treasury shares held in trust for future settlement of share based awards 23,706   66,093            
Weighted average exercise price of options forfeited $ 31.69 $ 31.85              
Options Non Employees [Member]                  
Capital Stock (Textuals) [Abstract]                  
Share-based compensation costs recorded for the period less than less than              
Share-based compensation costs recorded for the period $ 100 $ (100)              
Options exercisable 17,000 26,325              
Options outstanding 17,000 38,750              
Options outstanding, weighted average exercise price $ 29.64 $ 26.79              
Granted 0 0              
Amount for stock options or rights included in accrued liabilities     less than            
Amount for stock options or rights included in accrued liabilities $ 0   $ 100            
Intrinsic value of options exercised $ 100 $ 100              
Options exercisable, weighted average exercise price per share, end of period $ 29.64 $ 26.99              
Employee Stock Option China Incentive Plan [Member]                  
Capital Stock (Textuals) [Abstract]                  
Share-based compensation costs recorded for the period $ 200 $ 200              
CSSBP [Member]                  
Capital Stock (Textuals) [Abstract]                  
Share-based compensation costs recorded for the period 100 100              
Amount for stock options or rights included in accrued liabilities 400   $ 300            
China RSU [Member]                  
Capital Stock (Textuals) [Abstract]                  
Share-based compensation costs recorded for the period $ 100 $ 0              
Restricted Share Units (RSUs) [Member]                  
Capital Stock (Textuals) [Abstract]                  
Number of RSUs outstanding 1,275,421 1,131,831     1,124,180     973,637  
Share-based compensation arrangement by share-based payment award, equity instruments other than options, grants in period 373,540 351,584              
RSUs outstanding, Weighted Average Grant Date Fair Value per Share $ 33.13 $ 32.61     $ 33.01     $ 32.27  
Antidilutive shares issuable upon exercise of stock options and restricted share units 171,673 615,028              
Share-based compensation costs, not yet recognized, period for recognition 2 years 7 months 6 days 2 years 8 months 12 days              
Share-based compensation costs, not yet recognized $ 37,062 $ 32,000              
Tax benefits realized $ 1,900 $ 1,900              
Restricted Stock Unit Contingent Right 1                
Restricted Stock Unit Economic Equivalent 1                
Common shares issued in connection with vested RSUs 201,793 190,298              
Common shares issued from treasury in connection with vested RSUs 7,127 5,563              
Common shares purchased in open market by trustee in connection with RSUs 190,084 181,227              
Shares withheld for tax withholding 4,582 3,508              
RSUs that may vest on shorter schedule 260,274         300,000      
RSUs issued from carve-out 0   39,726            
Restricted Share Units (RSUs) [Member] | Employee [Member]                  
Capital Stock (Textuals) [Abstract]                  
Share-based compensation costs recorded for the period $ 3,400 $ 3,100              
Common shares purchased in open market by trustee in connection with RSUs 368,624 181,277              
Weighted average price of common shares purchased in open market by trustee in connection with RSUs $ 32.38 $ 32.28              
Restricted Share Units (RSUs) [Member] | Non Employee [Member]                  
Capital Stock (Textuals) [Abstract]                  
Share-based compensation arrangement by share-based payment award, equity instruments other than options, grants in period 0 0              
Maximum [Member] | Restricted Share Units (RSUs) [Member]                  
Capital Stock (Textuals) [Abstract]                  
Stock based awards vesting period 4 years 4 years              
Minimum [Member] | Restricted Share Units (RSUs) [Member]                  
Capital Stock (Textuals) [Abstract]                  
Stock based awards vesting period 1 year 0 years              
XML 78 R67.htm IDEA: XBRL DOCUMENT v3.7.0.1
Segmented Information (Details 1) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Geographical Information    
Revenues, total $ 68,657 $ 92,128
United States [Member]    
Geographical Information    
Revenues, total 25,198 35,544
Canada [Member]    
Geographical Information    
Revenues, total 3,282 7,077
Greater China [Member]    
Geographical Information    
Revenues, total 18,590 24,939
Asia (excluding Greater China) [Member]    
Geographical Information    
Revenues, total 8,429 5,559
Western Europe [Member]    
Geographical Information    
Revenues, total 5,813 11,486
Russia & the CIS [Member]    
Geographical Information    
Revenues, total 3,183 1,692
Latin America [Member]    
Geographical Information    
Revenues, total 1,654 3,527
Rest of the World [Member]    
Geographical Information    
Revenues, total $ 2,508 $ 2,304
XML 79 R68.htm IDEA: XBRL DOCUMENT v3.7.0.1
Segmented Information (Details Textual)
$ in Millions
3 Months Ended 12 Months Ended
Mar. 31, 2017
USD ($)
Segments
Mar. 31, 2016
USD ($)
Dec. 31, 2016
Segments
Segment Reporting (Textuals) [Abstract]      
Number of Reportable Segments | Segments 8    
Percentage of total revenues represented by largest customer 17.2% 16%  
Marketing and commission costs $ 0.4 $ 0.7  
Disclosure on Geographic Areas, Description of Revenue from External Customers No single country in the Rest of the World, Western Europe, Latin America and Asia (excluding Greater China) classifications comprises more than 10% of the total revenue.    
Description of products and services from which each reportable segment derives its revenues The Company’s reportable segments are now under four primary groups identified by nature of product sold or service provided: (1) Network Business, representing variable revenue generated by box-office results and which includes the reportable segment of IMAX DMR and contingent rent from the joint revenue sharing arrangements and IMAX systems segments; (2) Theater Business, representing revenue generated by the sale and installation of theater systems and maintenance services, primarily related to the IMAX Systems and Theater System Maintenance reportable segments, and also includes fixed hybrid revenues and upfront installation costs from the joint revenue sharing arrangements segment and after-market sales of projection system parts and 3D glasses from the other segment; (3) New Business, which includes content licensing and distribution fees associated with our original content investments, virtual reality initiatives, IMAX Home Entertainment, and other business initiatives that are in the development and/or start-up phase, and (4) Other; which includes the film post-production and distribution segments and certain IMAX theaters that the Company owns and operates, camera rentals and other miscellaneous items from the other segment.    
Description of the basis of accounting for transactions between reportable segments The accounting policies of the segments are the same as those described in note 2 to the audited consolidated financial statements included in the Company’s 2016 Form 10-K. In addition, refer to Item 2 of the Company’s Form 10-Q for additional information regarding the four primary groups mentioned above. Transactions between the IMAX DMR segment and the film post-production segment are valued at exchange value. Inter-segment profits are eliminated upon consolidation.    
Number of Primary Groups | Segments 4   2
IMAX DMR [Member]      
Segment Reporting (Textuals) [Abstract]      
Marketing costs (recovery) $ 2.6 2.3  
Joint revenue sharing arrangements [Member]      
Segment Reporting (Textuals) [Abstract]      
Advertising, marketing and commission costs (recovery) 0.4 0.1  
IMAX Systems [Member]      
Segment Reporting (Textuals) [Abstract]      
Advertising, marketing and commission costs (recovery) 0.4 0.5  
Film distribution [Member]      
Segment Reporting (Textuals) [Abstract]      
Marketing costs (recovery) $ (0.2) $ 0.7  
XML 80 R69.htm IDEA: XBRL DOCUMENT v3.7.0.1
Employees Pension and Postretirement Benefits (Details 1)
$ in Thousands
Mar. 31, 2017
USD ($)
SERP Benefits [Member]  
Schedule of expected benefit payments  
2017 (nine months remaining) $ 0
2018 0
2019 0
2020 21,115
2021 0
Thereafter 0
Total expected future benefit payment 21,115
Postretirement Benefits Executives [Member]  
Schedule of expected benefit payments  
2017 (nine months remaining) 21
2018 24
2019 26
2020 33
2021 36
Thereafter 514
Total expected future benefit payment 654
Postretirement Benefits Canadian Employees [Member]  
Schedule of expected benefit payments  
2017 (nine months remaining) 92
2018 99
2019 105
2020 108
2021 110
Thereafter 1,244
Total expected future benefit payment $ 1,758
XML 81 R70.htm IDEA: XBRL DOCUMENT v3.7.0.1
Employees Pension and Postretirement Benefits (Details Textuals) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Dec. 31, 2016
Sep. 01, 2016
Dec. 31, 2015
SERP Benefits [Member]          
Pension and Other Postretirement Benefit Expense (Textuals) [Abstract]          
Accumulated benefit obligation for the SERP $ 19,700   $ 19,600    
Benefit Obligation 19,687   19,580   $ 19,478
Companies contribution and expenses 0        
Expected interest costs in the remainder of the year $ 300        
SERP assumptions The SERP assumptions are that Mr. Gelfond will receive a lump sum payment six months after retirement at the end of the current term of his employment agreement (December 31, 2019), although Mr. Gelfond has not informed the Company that he intends to retire at that time.        
Defined Contribution Plan [Member]          
Pension and Other Postretirement Benefit Expense (Textuals) [Abstract]          
Description Of Defined Contribution Pension And Other Postretirement Plans The Company also maintains defined contribution pension plans for its employees, including its executive officers. The Company makes contributions to these plans on behalf of employees in an amount up to 5% of their base salary subject to certain prescribed maximums.        
Maximum percentage of base salary contributed to Defined Contribution Pension Plan by Company 5.00%        
Postretirement Benefits Executives [Member]          
Pension and Other Postretirement Benefit Expense (Textuals) [Abstract]          
Benefit Obligation $ 654   647    
Maximum amount of Postretirement benefit expensed less than less than      
Maximum amount of Postretirement benefit expensed $ 100 $ 100      
Postretirement Benefits Canadian Employees [Member]          
Pension and Other Postretirement Benefit Expense (Textuals) [Abstract]          
Benefit Obligation $ 1,758   1,745    
Maximum amount of Postretirement benefit expensed less than less than      
Maximum amount of Postretirement benefit expensed $ 100 $ 100      
Canadian Plan [Member]          
Pension and Other Postretirement Benefit Expense (Textuals) [Abstract]          
Companies contribution and expenses 329 401      
Us Internal Revenue Code [Member]          
Pension and Other Postretirement Benefit Expense (Textuals) [Abstract]          
Companies contribution and expenses $ 234 221      
Deferred Compensation Plan [Member]          
Pension and Other Postretirement Benefit Expense (Textuals) [Abstract]          
Deferred compensation plan description In September 2016, the Company entered into a new employment agreement with Greg Foster, CEO of IMAX Entertainment, which provides for an employment term from July 2, 2016 through July 2, 2019. Under the agreement, the Company agreed to create a deferred compensation plan (the “Retirement Plan”) covering Mr. Foster, and to make a total contribution of $3.2 million over the three-year employment term. The Retirement Plan is subject to a vesting schedule based on continued employment with the Company, such that 25% will vest July 2019; 50% will vest July 2022; 75% will vest July 2025; and will be 100% vested in July 2027.        
Requisite employment term 2 years 3 months 2 days        
Total contibution obligation over employment term       $ 3,200  
Unfunded benefit obligation recorded $ 800   $ 500    
Compensation expense recognized $ 300 $ 0      
XML 82 R71.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments (Details 2) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Recorded investment in financing receivables by credit quality indicator    
Minimum Lease Payments $ 8,480 $ 8,756
Financed Sales Receivables 113,176 114,535
Total 121,656 123,291
In Good Standing [Member]    
Recorded investment in financing receivables by credit quality indicator    
Minimum Lease Payments 7,465 7,741
Financed Sales Receivables 110,249 111,568
Total 117,714 119,309
Credit Watch Member [Member]    
Recorded investment in financing receivables by credit quality indicator    
Minimum Lease Payments 0 0
Financed Sales Receivables 1,683 1,514
Total 1,683 1,514
Pre-Approved Transactions [Member]    
Recorded investment in financing receivables by credit quality indicator    
Minimum Lease Payments 0 0
Financed Sales Receivables 633 842
Total 633 842
Transactions Suspended [Member]    
Recorded investment in financing receivables by credit quality indicator    
Minimum Lease Payments 1,015 1,015
Financed Sales Receivables 611 611
Total $ 1,626 $ 1,626
XML 83 R72.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments (Details 3) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Investment In Financing Receivables On Nonaccrual Status    
Net investment in leases recorded investment $ 1,015 $ 1,015
Net investment in leases related allowance (672) (672)
Net financed sales receivables recorded investment 611 611
Net financed sales receivables related allowance (494) (494)
Total recorded investment 1,626 1,626
Total related allowance $ (1,166) $ (1,166)
XML 84 R73.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments (Details 4) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Mar. 31, 2016
Dec. 31, 2015
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables $ 8,040 $ 7,453    
Related Unbilled Recorded Investment 113,617 115,838    
Total Recorded Investment 121,656 123,291    
Related Allowances (1,166) (1,166)    
Recorded Investment Net of Allowances 120,490 122,125    
Financing Receivables Accrued and Current        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 1,925 2,421    
Financing Receivables 30 to 89 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 2,473 1,883    
Financing Receivables Equal To Greater Than 90 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 3,642 3,149    
Net Investment in Leases [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 898 968    
Related Unbilled Recorded Investment 7,582 7,788    
Total Recorded Investment 8,480 8,756    
Related Allowances (672) (672) $ (672) $ (672)
Recorded Investment Net of Allowances 7,808 8,084    
Net Investment in Leases [Member] | Financing Receivables Accrued and Current        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 41 28    
Net Investment in Leases [Member] | Financing Receivables 30 to 89 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 94 159    
Net Investment in Leases [Member] | Financing Receivables Equal To Greater Than 90 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 763 781    
Net Financed Sales Receivables [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 7,142 6,485    
Related Unbilled Recorded Investment 106,035 108,050    
Total Recorded Investment 113,176 114,535    
Related Allowances (494) (494) $ (643) $ (568)
Recorded Investment Net of Allowances 112,682 114,041    
Net Financed Sales Receivables [Member] | Financing Receivables Accrued and Current        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 1,884 2,393    
Net Financed Sales Receivables [Member] | Financing Receivables 30 to 89 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 2,379 1,724    
Net Financed Sales Receivables [Member] | Financing Receivables Equal To Greater Than 90 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 2,879 2,368    
Financing Receivables Continue To Accrue Finance Income [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 3,786 3,070    
Related Unbilled Recorded Investment 28,113 21,793    
Related Allowances 0 0    
Recorded Investment Net of Allowances 31,899 24,863    
Financing Receivables Continue To Accrue Finance Income [Member] | Financing Receivables Accrued and Current        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 184 284    
Financing Receivables Continue To Accrue Finance Income [Member] | Financing Receivables 30 to 89 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 1,029 688    
Financing Receivables Continue To Accrue Finance Income [Member] | Financing Receivables Equal To Greater Than 90 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 2,573 2,098    
Financing Receivables Continue To Accrue Finance Income [Member] | Net Investment in Leases [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 392 298    
Related Unbilled Recorded Investment 2,237 1,646    
Related Allowances 0 0    
Recorded Investment Net of Allowances 2,629 1,944    
Financing Receivables Continue To Accrue Finance Income [Member] | Net Investment in Leases [Member] | Financing Receivables Accrued and Current        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 38 0    
Financing Receivables Continue To Accrue Finance Income [Member] | Net Investment in Leases [Member] | Financing Receivables 30 to 89 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 61 54    
Financing Receivables Continue To Accrue Finance Income [Member] | Net Investment in Leases [Member] | Financing Receivables Equal To Greater Than 90 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 293 244    
Financing Receivables Continue To Accrue Finance Income [Member] | Net Financed Sales Receivables [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 3,394 2,772    
Related Unbilled Recorded Investment 25,876 20,147    
Related Allowances 0 0    
Recorded Investment Net of Allowances 29,270 22,919    
Financing Receivables Continue To Accrue Finance Income [Member] | Net Financed Sales Receivables [Member] | Financing Receivables Accrued and Current        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 146 284    
Financing Receivables Continue To Accrue Finance Income [Member] | Net Financed Sales Receivables [Member] | Financing Receivables 30 to 89 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables 968 634    
Financing Receivables Continue To Accrue Finance Income [Member] | Net Financed Sales Receivables [Member] | Financing Receivables Equal To Greater Than 90 Days Past Due [Member]        
Financing Receivable, Recorded Investment, Past Due [Line Items]        
Billed Financing Receivables $ 2,280 $ 1,854    
XML 85 R74.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments (Details 5) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Financing Receivable, Impaired [Line Items]    
Recorded Investment $ 525 $ 748
Unpaid Principal 75 414
Related Allowance (494) (643)
Average Recorded Investment 525 748
Interest Income Recognized 0 0
Net Financed Sales Receivables [Member]    
Financing Receivable, Impaired [Line Items]    
Impaired Financing Receivable with Related Allowance, Recorded Investment 525 748
Impaired Financing Receivable With Related Allowance, Unpaid Principal 75 414
Impaired Financing Receivable With Related Allowance, Average Recorded Investment 525 748
Impaired Financing Receivable With Related Allowance, Interest Income Recognized 0 0
Impaired Financing Receivable With No Related Allowance, Recorded Investment 0 0
Impaired Financing Receivable With No Related Allowance, Unpaid Principal 0 0
Impaired Financing Receivable With No Related Allowance, Average Recorded Investment 0 0
Impaired Financing Receivable With No Related Allowance, Interest Income Recognized 0 0
Related Allowance $ (494) $ (643)
XML 86 R75.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments (Details 6) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Allowance for credit losses:    
Beginning balance $ 1,166  
Ending balance 1,166  
Net Investment in Leases [Member]    
Allowance for credit losses:    
Beginning balance 672 $ 672
Charge-offs 0 0
Recoveries 0 0
Provision 0 0
Ending balance 672 672
Ending balance: individually evaluated for impairment 672 672
Financing receivables:    
Ending balance: individually evaluated for impairment 8,480 10,577
Net Financed Sales Receivables [Member]    
Allowance for credit losses:    
Beginning balance 494 568
Charge-offs 0 0
Recoveries 0 0
Provision 0 75
Ending balance 494 643
Ending balance: individually evaluated for impairment 494 643
Financing receivables:    
Ending balance: individually evaluated for impairment $ 113,176 $ 110,387
XML 87 R76.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments (Details 7) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Foreign Exchange Contract [Member] | Designated as Hedging Instrument [Member]    
Derivatives Fair Value [Line Items]    
Foreign exchange contracts - Forwards $ 39,802 $ 37,825
XML 88 R77.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments (Details 8) - USD ($)
$ in Thousands
Mar. 31, 2017
Dec. 31, 2016
Fair value of foreign exchange contracts    
Foreign exchange contracts - designated forwards $ 302 $ (296)
Other Assets [Member] | Designated as Hedging Instrument [Member]    
Fair value of foreign exchange contracts    
Derivative Asset, Fair Value 604 480
Accrued and other liabilities [Member] | Designated as Hedging Instrument [Member]    
Fair value of foreign exchange contracts    
Derivative Liability, Fair Value $ (302) $ (776)
XML 89 R78.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments (Details 9) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Derivatives in Foreign Currency Hedging relationships    
Derivative Gain Recognized in OCI (Effective Portion) $ 313 $ 2,207
Location of Derivative Loss Reclassified from AOCI into Income (Effective Portion) (285) (1,277)
Derivative Loss Recognized In and Out of OCI (Effective Portion) (47) 0
Selling, general and administrative expenses [Member]    
Derivatives in Foreign Currency Hedging relationships    
Location of Derivative Loss Reclassified from AOCI into Income (Effective Portion) (285) (1,277)
Fair Value Hedging [Member]    
Derivatives in Foreign Currency Hedging relationships    
Derivative Gain Recognized in OCI (Effective Portion) $ 313 $ 2,207
XML 90 R79.htm IDEA: XBRL DOCUMENT v3.7.0.1
Financial Instruments (Details Textual) - USD ($)
$ in Thousands
3 Months Ended
Mar. 31, 2017
Mar. 31, 2016
Dec. 31, 2016
Financial Instruments (Textuals) [Abstract]      
Transfers into/out of Level 3 $ 0 $ 0  
Financing receivables indications of theaters with potential collection concerns 60-89 days    
Financing receivables indications of theaters to review and assess Once a theater’s aging exceeds 90 days, the Company’s policy is to review and assess collectibility on the theat    
Financing receivables indications of theaters with potential impairment Over 90 days past due is used by the Company as an indicator of potential impairment as invoices up to 90 days outstanding could be considered reasonable due to the time required for dispute resolution or for the provision of further information or supporting documentation to the customer    
Estimated gain to be reclassified to earnings within the next twelve months $ 400    
Financial Instruments Additional (Textuals) [Abstract]      
Total carrying value of investments in new business ventures 3,000   $ 2,000
Convertible loan receivable     1,000
Convertible loan effective interest rate   5.00%  
Convertible loan receivable due date   Sep. 26, 2019  
Schedule of Available For Sale Securities [Line Items]      
Available-for-sale Securities, Debt Securities 1,500    
Investment classified as available-for-sale - fair value 0   0
Variable Interest Entity, Not Primary Beneficiary [Member]      
Financial Instruments Additional (Textuals) [Abstract]      
Carrying value of investments accounted for under the equity method of accounting 0   0
Equity method investment, difference between carrying amount and underlying equity 700    
Variable Interest Entity, Not Primary Beneficiary [Member] | Equity Accounted Investment [Member]      
Financial Instruments Additional (Textuals) [Abstract]      
Gross revenues of investment new business ventures 200 $ 400  
Cost of revenue of investment new business ventures 900 2,200  
Net loss on equity-accounted investments 700 $ 1,800  
Other Debt Securities [Member]      
Schedule of Available For Sale Securities [Line Items]      
Investment classified as available-for-sale - cost 3,500    
Investment classified as available-for-sale - fair value 1,000   0
Fixed Income Securities [Member]      
Schedule of Available For Sale Securities [Line Items]      
Investment classified as available-for-sale - cost $ 1,000   $ 1,000
XML 91 R80.htm IDEA: XBRL DOCUMENT v3.7.0.1
Non-Controlling Interests (Details Textuals)
$ in Thousands
3 Months Ended 12 Months Ended
Feb. 10, 2015
USD ($)
Apr. 08, 2014
USD ($)
Mar. 31, 2017
USD ($)
Mar. 31, 2016
USD ($)
Dec. 31, 2015
USD ($)
Dec. 31, 2014
USD ($)
yr
Film
Redeemable Noncontrolling Interest [Line Items]            
Investment in film assets     $ (3,334) $ (3,919)    
IMAX China Noncontrolling Interest            
Redeemable Noncontrolling Interest [Line Items]            
Non-controlling interest description   On April 8, 2014, the Company announced the sale and issuance of 20.0% of the shares in IMAX China to entities owned and controlled by CMC Capital Partners ("CMC"), an investment fund focused on media and entertainment, and FountainVest Partners ("FountainVest"), a China-focused private equity firm.        
Minority Interest Ownership Percentage By Company     68.20%      
Minority Interest Ownership Percentage By Noncontrolling Owners   20.00%        
Dividends paid         $ 9,500  
IMAX China Noncontrolling Interest | Class C Shares [Member]            
Redeemable Noncontrolling Interest [Line Items]            
Aggregate subscription price $ 40,000 $ 40,000        
Other Noncontrolling Interest [Member]            
Redeemable Noncontrolling Interest [Line Items]            
Non-controlling interest description           In 2014, the Company announced the creation of the Film Fund to co-finance a portfolio of 10 original large-format films. The Film Fund, which is intended to be capitalized with up to $50.0 million, will finance an ongoing supply of original films that the Company believes will be more exciting and compelling than traditional documentaries. The initial investment in the Film Fund was committed to by a third party in the amount of $25.0 million, with the possibility of contributing additional funds. The Company agreed to contribute $9.0 million to the Film Fund over five years starting in 2014 and sees the Film Fund as a self-perpetuating vehicle designed to generate a continuous, steady flow of high-quality documentary content.
Number Of Expected Original Films | Film           10
Film Fund Expected Capital Contribution           $ 50,000
Investment in film assets     $ 13,400      
Other Noncontrolling Interest [Member] | Third Party [Member]            
Redeemable Noncontrolling Interest [Line Items]            
Film Fund commitment amount           25,000
Other Noncontrolling Interest [Member] | IMAX [Member]            
Redeemable Noncontrolling Interest [Line Items]            
Film Fund commitment amount           $ 9,000
Contribution Period | yr           5
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