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<SEC-DOCUMENT>0000718940-10-000007.txt : 20100506
<SEC-HEADER>0000718940-10-000007.hdr.sgml : 20100506
<ACCEPTANCE-DATETIME>20100506160300
ACCESSION NUMBER:		0000718940-10-000007
CONFORMED SUBMISSION TYPE:	6-K
PUBLIC DOCUMENT COUNT:		17
CONFORMED PERIOD OF REPORT:	20100506
FILED AS OF DATE:		20100506
DATE AS OF CHANGE:		20100506

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			BCE INC
		CENTRAL INDEX KEY:			0000718940
		STANDARD INDUSTRIAL CLASSIFICATION:	TELEPHONE COMMUNICATIONS (NO RADIO TELEPHONE) [4813]
		IRS NUMBER:				99999999
		STATE OF INCORPORATION:			A8
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		6-K
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	001-08481
		FILM NUMBER:		10808113

	BUSINESS ADDRESS:	
		STREET 1:		1000 DE LA GAUCHETIERE OUEST
		STREET 2:		BUREAU 4100 MONTREAL
		CITY:			QUEBEC CANADA
		STATE:			A8
		ZIP:			H3B 4Y7
		BUSINESS PHONE:		5143977000

	MAIL ADDRESS:	
		STREET 1:		1000 DE LA GAUCHETIERE OUEST
		STREET 2:		BUREAU 4100 MONTREAL
		CITY:			QUEBEC CANADA
		STATE:			A8
		ZIP:			H3B 4Y7

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	BELL CANADA ENTERPRISES INC
		DATE OF NAME CHANGE:	19880111
</SEC-HEADER>
<DOCUMENT>
<TYPE>6-K
<SEQUENCE>1
<FILENAME>form6k_q110.htm
<DESCRIPTION>FORM 6-K
<TEXT>
<HTML>
<HEAD>
   <TITLE>Form 6-K</TITLE>
  <meta equiv="Content-Type" content="text/html; charset=windows-1252">

</HEAD>

<BODY bgcolor="#ffffff">



<font size="2"></font>

<P align="center">
<B><font face="Arial">SECURITIES AND EXCHANGE COMMISSION</font><br>
WASHINGTON, D.C. 20549</B></P>
<P align="center">
<B>FORM 6-K</B></P>
<P align="center">
<B><font face="Arial">REPORT OF FOREIGN PRIVATE ISSUER</font></B></P>
<P align="center">
<font size="2">Pursuant to Rule 13a-16 or 15d-16 under<BR>
the Securities Exchange Act of 1934 </font> </P>
<div align="center">
	<table border="0" width="75%" cellpadding="0" style="border-collapse: collapse">
		<tr>
			<td width="50%">
			<P align="left">
<font size="2">For the month of: <B>May 2010</B></font></P>
			</td>
			<td width="50%">
<P align="right">
<font size="2">Commission File Number: </font> <B><font size="2">1-8481</font></B></P>
			</td>
		</tr>
	</table>
</div>
<P align="center">
<B>BCE&nbsp;Inc.</B> <I><font size="2"><br>
(Translation of Registrant&#146;s name into English)</font></I></P>
<P align="center">
<B>1, carrefour Alexander-Graham-Bell, Verdun, Qu&eacute;bec H3E 3B3,
(514) 870-8777</B><i><font size="2"><br>
(Address of principal executive offices)</font></i></P>
<P align="left">
<font size="2">Indicate by check mark whether the registrant files or will file annual reports under cover of Form 20-F or Form 40-F.</font></P>
<div align="center">
	<table border="0" width="50%" cellpadding="3" style="border-collapse: collapse">
		<tr>
			<td width="11%">
			<P align="right">
<font size="2">Form 20-F   </font>   </P></td>
			<td width="1%"><font size="2">&nbsp;</font></td>
			<td width="11%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom-style: solid; border-bottom-width: 1px" bordercolor="#000000">
			<font size="2">&nbsp;</font></td>
			<td width="5%"><font size="2">&nbsp;</font></td>
			<td width="11%">
			<p align="right"><font size="2">Form 40-F</font></td>
			<td width="1%"><font size="2">&nbsp;</font></td>
			<td width="11%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom-style: solid; border-bottom-width: 1px" bordercolor="#000000">
			<p align="center"><font size="2">&nbsp;</font><B><font size="2">X</font></B></td>
		</tr>
	</table>
</div>
<P align="left">
<font size="2">Indicate by check mark if the registrant is submitting the Form 6-K in paper as permitted by Regulation S-T Rule 101(b)(1): _____</font></P>
<P align="left">
<font size="2">Indicate by check mark if the registrant is submitting the Form 6-K in paper as permitted by Regulation S-T Rule 101(b)(7): _____</font></P>
<P align="left">
<font size="2">Indicate by check mark whether by furnishing the information contained in this Form, the registrant is also thereby furnishing the information to the Commission pursuant to Rule 12g3-2(b) under the Securities Exchange Act of 1934.
</font> </P>
<div align="center">
	<table border="0" width="50%" cellpadding="3" style="border-collapse: collapse">
		<tr>
			<td width="11%">
			<P align="right">
<font size="2">Yes   </font>   </P></td>
			<td width="1%"><font size="2">&nbsp;</font></td>
			<td width="11%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom-style: solid; border-bottom-width: 1px" bordercolor="#000000">
			<font size="2">&nbsp;</font></td>
			<td width="5%"><font size="2">&nbsp;</font></td>
			<td width="11%">
<P align="right">
<font size="2">No</font></P></td>
			<td width="1%"><font size="2">&nbsp;</font></td>
			<td width="11%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom-style: solid; border-bottom-width: 1px" bordercolor="#000000">
			<p align="center"><font size="2">&nbsp;</font><B><font size="2">X</font></B></td>
		</tr>
	</table>
</div>
<P align="left">
<font size="2">If &#147;Yes&#148; is marked, indicate below the file number assigned to the registrant in connection with Rule 12g3-2(b): 82-
_____.
</font> </P>
<hr noshade color="#000000" size="1" width="70%">
<P align="left">
<font size="2">Only the BCE Inc. Management&#146;s Discussion and Analysis of Financial Condition and Results of Operations for the quarter ended March 31, 2010 and the BCE Inc. unaudited interim consolidated financial statements for
the quarter ended March 31, 2010, included in the BCE Inc. 2010 First Quarter Shareholder Report furnished with this Form 6-K as Exhibit 1, and the Reconciliation of Canadian GAAP to United States GAAP furnished with this Form 6-K as Exhibit 2, are
incorporated by reference in the registration statements filed by BCE Inc. with the Securities and Exchange Commission on Form F-3 (Registration Statement No. 333-12130), Form S-8 (Registration Statement No. 333-12780) and Form S-8 (Registration
Statement No. 333-12802). Except for the foregoing, no other document or portion of document furnished with this Form 6-K is incorporated by reference in BCE Inc.&#146;s registration statements. Notwithstanding any reference to BCE Inc.&#146;s Web
site on the World Wide Web in the documents attached hereto, the information contained in BCE Inc.&#146;s site or any other site on the World Wide Web referred to in BCE Inc.&#146;s site is not a part of this Form 6-K and, therefore, is not
furnished to the Securities and Exchange Commission. </font></P>
<P align="right" style="margin-top: 0; margin-bottom: 0">
<font size="2">Page 1</font></P>

<HR noshade size=1 color="#000000">




<P align="center">
<B><font face="Arial">SIGNATURE</font></B></P>
<P align="left">
<font size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;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.
</font>  </P>
<div align="right">
	<table border="0" width="50%" cellpadding="2" style="border-collapse: collapse">
		<tr>
			<td width="50%">
<P align="left">
<B>BCE&nbsp;Inc.</B> <br>
&nbsp;</P>
			<P align="left">
&nbsp;</P></td>
		</tr>
		<tr>
			<td width="45%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom-style: solid; border-bottom-width: 1px" bordercolor="#000000">
			<I><font size="2">(signed) Siim A. Vanaselja</font></I></td>
		</tr>
		<tr>
			<td width="45%"><font size="2">Siim A. Vanaselja <BR>
Executive Vice-President and
Chief Financial Officer </font></td>
		</tr>
		<tr>
			<td width="45%">&nbsp;</td>
		</tr>
		<tr>
			<td width="50%">
<P align="left">
<font size="2">May 6, 2010</font></P></td>
		</tr>
	</table>
</div>
<P align="center">
&nbsp;</P>
<P align="left" style="margin-top: 0; margin-bottom: 0">
&nbsp;</P>

<P align="right" style="margin-top: 0; margin-bottom: 0">
<font size="2">Page 2</font></P>

<HR noshade size=1 color="#000000">




<P align="center">
<B>EXHIBIT INDEX</B></P>
<P align="left">
<font size="2">99.1. BCE Inc. 2010 First Quarter Shareholder Report<br>
99.2. Reconciliation of Canadian GAAP to United States GAAP <br>
99.3. Supplementary Financial Information &#150; First Quarter 2010 <br>
99.4. CEO/CFO Certifications <br>
99.5. News Release <br>
99.6. Bell Canada Unaudited Selected Summary Financial
Information </font></P>
<p align="left"><font size="2"><BR>
&nbsp;</font></p>
<P align="left" style="margin-top: 0; margin-bottom: 0">
&nbsp;</P>
<P align="left" style="margin-top: 0; margin-bottom: 0">
&nbsp;</P>

<P align="right" style="margin-top: 0; margin-bottom: 0">
<font size="2">Page 3</font></P>

<HR noshade size=1 color="#000000">




</BODY>

</HTML>
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99.1
<SEQUENCE>2
<FILENAME>bceq110.htm
<DESCRIPTION>BCE INC. 2010 FIRST QUARTER SHAREHOLDER REPORT
<TEXT>


<HTML>
<HEAD>
   <TITLE>BCE&nbsp;2010 First Quarter Shareholder Report</TITLE>
   <meta equiv="Content-Type" content="text/html; charset=windows-1252">
</HEAD>

<BODY bgcolor="#ffffff">





<p align="right"><font size="2" face="Arial">EXHIBIT 99.1</font></p>
<p>&nbsp;</p>
<div align="center">





<TABLE border=0 width="80%" cellspacing=0 cellpadding=0>
<TR valign="bottom">
	<TD width="50%" rowspan="17">
<p align="center"><img border="0" src="cover1.jpg" width="380" height="332"></p>
<p>&nbsp;</p>
<p>&nbsp;</p>
<p>&nbsp;</p>
<p><img border="0" src="cover3.jpg" width="521" height="607"></TD>
	<TD width="5%" rowspan="17"
 style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
&nbsp;</TD>
	<TD width="23%" valign="top">
<p style="text-indent: -12px; margin-left: 12px"><img border="0"
src="cover2.jpg" width="380" height="332"></TD>
	<TD align=left width="2%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face="Arial">
CONTENTS</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">&nbsp;</FONT></TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<FONT size=2 face="Arial">MD&amp;A </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">2</FONT></TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">About Forward-Looking Statements </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">2 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">About Our Business </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">3 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Quarterly Financial Information </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">6 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Financial Results Analysis </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">7 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 36px">
<FONT size=2 face="Arial">Consolidated Analysis </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">7 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 36px">
<FONT size=2 face="Arial">Segmented Analysis </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">10 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Financial and Capital Management </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">15 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Updates to Our Regulatory Environment </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">18 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Assumptions and Risks that Could Affect Our Business
and Results </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">19 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Our Accounting Policies </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">21 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Controls and Procedures </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">23 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Non-GAAP Financial Measures </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">23 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Consolidated Financial Statements </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">26 </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="23%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Notes to Consolidated Financial Statements </FONT>
	</TD>
	<TD align=right width="2%">
<FONT size=2 face="Arial">30 </FONT>
	</TD>
</TR>
</TABLE></div>
<font size="2" face="Arial"><BR>

</font>

<HR noshade size=1 color="#000000">






<P align="left">
<FONT face="Arial" size="5">Management&#146;s Discussion and Analysis</FONT></P>
<P align="left">
<I><font size="2" face="Arial">In this management&#146;s discussion and analysis of financial condition and results of operations (MD&amp;A),
</font></I><font size="2"><FONT face="Arial">we, us, our </FONT><I><FONT face="Arial">and </FONT></I><FONT face="Arial">BCE&nbsp;</FONT><I><FONT face="Arial">mean BCE&nbsp;Inc., its subsidiaries and joint ventures. </FONT></I><FONT face="Arial">Bell&nbsp;Canada </FONT><I><FONT face="Arial">is, unless otherwise indicated, referred herein as Bell, and comprises our Bell&nbsp;Wireline and Bell&nbsp;Wireless segments. </FONT></I><FONT face="Arial">Bell&nbsp;Aliant </FONT></font><I>
<font size="2" face="Arial">means Bell&nbsp;Aliant Regional Communications Income Fund and its subsidiaries.</font></I></P>
<P align="left">
<I><FONT face="Arial" size="2">All amounts in this MD&amp;A are in&nbsp;millions of Canadian dollars, except where noted.</FONT></I></P>
<P align="left">
<I><FONT face="Arial" size="2">Please refer to the unaudited consolidated financial statements for the first quarter of&nbsp;2010 when reading this MD&amp;A. We also encourage you to read BCE&nbsp;Inc.&#146;s MD&amp;A for the year ended December&nbsp;31,&nbsp;2009 dated March&nbsp;11,&nbsp;2010 (BCE&nbsp;2009 Annual MD&amp;A). In preparing this MD&amp;A, we have taken into account information available to us up to May&nbsp;5,&nbsp;2010, the date of this MD&amp;A, unless otherwise stated.</FONT></I></P>
<P align="left">
<I><FONT face="Arial" size="2">You will find more information about us, including BCE&nbsp;Inc.&#146;s annual information form for the year ended December&nbsp;31,&nbsp;2009 dated March&nbsp;11,&nbsp;2010 (BCE&nbsp;2009 AIF) and recent financial reports, on BCE&nbsp;Inc.&#146;s website at
www.bce.ca, on SEDAR at www.sedar.com and on EDGAR at www.sec.gov.</FONT></I></P>
<P align="left">
<FONT face="Arial" size="2">This MD&amp;A comments on our operations, performance and financial condition for the three months (Q1) ended March&nbsp;31,&nbsp;2010 and&nbsp;2009.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="4">About Forward-Looking Statements</FONT></B></P>
<P align="left">
<font size="2" face="Arial">This MD&amp;A and, in particular, but without limitation, the section of this MD&amp;A entitled
</font><font size="2"><I><FONT face="Arial">Assumptions and Risks that Could Affect Our Business and Results</FONT></I><FONT face="Arial">, contains
forward-looking statements. These forward-looking statements include, but are not limited to, statements relating to certain aspects of the business outlook of Bell&#146;s Wireline and Wireless segments, our fibre-optic deployment plans, and our
plan to launch Internet Protocol Television (IPTV) in the course of&nbsp;2010. Forward-looking statements also include any other statements that do not refer to historical facts. A statement we make is forward-looking when it uses what we know and expect
today to make a statement about the future. Forward-looking statements may include words such as </FONT><I><FONT face="Arial">aim, anticipate, assumption, believe, could, expect, goal, guidance, intend, may, objective, outlook, plan, project, seek,
should, strategy, strive, target </FONT></I><FONT face="Arial">and </FONT><I><FONT face="Arial">will</FONT></I><FONT face="Arial">. All such forward-looking statements are made pursuant to the &#145;safe harbour&#146; provisions of applicable
Canadian securities laws and of the </FONT><I><FONT face="Arial">United States Private Securities Litigation Reform Act of 1995</FONT></I></font><font
size="2" face="Arial">.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Unless otherwise indicated by us, forward-looking statements in this MD&amp;A describe our expectations at May&nbsp;5,&nbsp;2010 and, accordingly, are subject to change after such date. Except as may be
required by Canadian securities laws, we do not undertake any obligation to update or revise any forward-looking statements, whether as a result of new information, future events or otherwise.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Forward-looking statements, by their very nature, are subject to inherent risks and uncertainties and are based on several assumptions which give rise to the possibility that actual results or events
could differ materially from our expectations expressed in or implied by such forward-looking statements and that our business outlook, objectives, plans and strategic priorities may not be achieved. As a result, we cannot guarantee that any forward-looking statement will materialize and you are cautioned not to place undue reliance on these forward-looking statements. Forward-looking statements are provided in this MD&amp;A for the purpose of giving information about management&#146;s current
strategic priorities, expectations and plans and allowing investors and others to get a better understanding of our business outlook and operating environment. Readers are cautioned, however, that such information may not be appropriate for other
purposes.<br>
</font><font size="2"><font face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Forward-looking statements made in this MD&amp;A are based on a number of assumptions that we believed were reasonable on May&nbsp;5,&nbsp;2010. Refer, in particular, to the section of this MD&amp;A entitled
</font><I><FONT face="Arial">Assumptions and Risks that Could Affect Our Business and Results </FONT></I>
</font><font size="2" face="Arial">for a description of certain key economic, market and operational assumptions we have used in making forward-looking
statements contained in this MD&amp;A. If our assumptions turn out to be inaccurate, our actual results could be materially different from what we expect. Unless otherwise indicated in this MD&amp;A, the strategic priorities, business outlooks and
assumptions described in the BCE&nbsp;2009 MD&amp;A remain substantially unchanged.<br>
</font><font size="2"><font face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Important risk factors that could cause actual results or events to differ materially from those expressed in or implied by the above mentioned forward-looking statements and other forward-looking
statements included in this MD&amp;A include, but are not limited to: the intensity of competitive activity, including the increase in wireless competitive activity that is expected to result from Industry&nbsp;Canada&#146;s licensing of advanced
wireless services (AWS) spectrum to new wireless entrants, and the resulting impact on our ability to retain existing, and attract new, customers, and on our pricing strategies and financial results; general economic and financial market conditions,
the level of consumer confidence and spending, and the demand for, and prices of, our products and services; our ability to implement our strategies and plans in order to produce the expected benefits; our ability to continue to implement our cost
reduction initiatives and contain capital intensity while seeking to improve customer service; our ability to respond to technological changes and rapidly offer new products and services; increased contributions to employee benefit plans; events
affecting the functionality of, and our ability to protect, maintain and replace, our networks, information technology (IT) systems and software; events affecting the ability of third-party suppliers to provide to us essential products and services;
the quality of our network and customer equipment and the extent to which they may be subject to manufacturing defects; labour disruptions; the potential</font></P>

</font>






<p style="margin-top: 0; margin-bottom: 0"><font size="1" face="Arial"><b>2 </b>&nbsp;BCE&nbsp;INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<FONT face="Arial" size="2">adverse effects on our Internet and wireless businesses of the significant increase in broadband demand; our ability to raise the capital we need to implement our business plan, including for BCE&nbsp;Inc.&#146;s share buyback program
and dividend payments and to fund capital and other expenditures and generally meet our financial obligations; our ability to discontinue certain traditional services as necessary to improve capital and operating efficiencies; regulatory initiatives
or proceedings, litigation and changes in laws or regulations; launch and in-orbit risks of satellites used by Bell&nbsp;ExpressVu Limited Partnership (Bell&nbsp;TV); competition from unregulated U.S. direct-to-home (DTH) satellite television services sold
illegally in&nbsp;Canada and the theft of our satellite television services; BCE&nbsp;Inc.&#146;s dependence on the ability of its subsidiaries, joint ventures and other companies in which it has an interest to pay dividends and make other distributions;
there can be no certainty that dividends will be declared by BCE&nbsp;Inc.&#146;s board of directors or that BCE&nbsp;Inc.&#146;s dividend policy will be maintained; stock market volatility; our ability to maintain customer service and our networks
operational in the event of the occurrence of epidemics, pandemics and other health risks; health concerns about radio frequency emissions from wireless devices; and loss of key employees.<br>
</FONT><font size="2"><font face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;These and other risk factors that could cause actual results or events to differ materially from our expectations expressed in or implied by our forward-looking statements are discussed in this
MD&amp;A and, in particular, under </font><I><FONT face="Arial">Updates to Our Regulatory Environment </FONT></I><FONT face="Arial">and </FONT><I><FONT face="Arial">Assumptions and Risks that Could Affect Our Business and Results</FONT></I></font><font
size="2" face="Arial">.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We caution readers that the risks described above are not the only ones that could impact us. Additional risks and uncertainties not currently known to us or that we currently deem to be immaterial
may also have a material adverse effect on our business, financial condition or results of operations.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Except as otherwise indicated by us, forward-looking statements do not reflect the potential impact of any non-recurring or other special items or of any dispositions, monetizations, mergers,
acquisitions, other business combinations or other transactions that may be announced or that may occur after May&nbsp;5,&nbsp;2010. The financial impact of these transactions and non-recurring and other special items can be complex and depends on the facts
particular to each of them. We therefore cannot describe the expected impact in a meaningful way or in the same way we present known risks affecting our business.</font></P>
<P align="left">
<B><FONT face="Arial" size="4">About Our Business</FONT></B></P>
<P align="left">
<B><FONT face="Arial" size="2">QUARTER IN REVIEW</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Our results this quarter showed a healthy balance of solid financial performance, led by strong earnings and substantial cash flow, and improved subscriber acquisition, all of which delivered improved operating
momentum.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Revenues at Bell&nbsp;increased 3.8% in Q1&nbsp;2010, driven mainly by the inclusion of results from The Source (Bell) Electronics&nbsp;Inc. (The Source) and Virgin Mobile&nbsp;Canada (Virgin) and significantly higher
wireless revenue growth. Increased revenues from our TV, Internet and Internet
protocol (IP) broadband connectivity services, as well as increased equipment sales to large business customers, also contributed to higher year-over-year revenues this quarter. Our overall
revenue performance this quarter also reflected an economy that is at an early stage of recovery as employment rates, new business formation and consumer spending have yet to return to pre-recession levels.<br>
</FONT><font size="2"><font face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Operating income at Bell&nbsp;was 21.3% higher in the first quarter of&nbsp;2010, due mainly to higher EBITDA</font><SUP><FONT face="Arial">(1) </FONT></SUP>
</font><font size="2" face="Arial">and lower restructuring and other
charges. EBITDA growth of 2.0% this quarter was tempered by higher expenses related to Bell&#146;s role as exclusive telecommunications provider and sponsor of the Vancouver Winter Olympics, as well as by an
unanticipated outcome of an arbitration decision of a contract
dispute related to prior years. The impact of these factors was offset partially by a reversal of a pension valuation allowance, which contributed to lower overall pension expense year over year. Excluding these items, Bell&#146;s EBITDA increased
4.1% in Q1&nbsp;2010, mainly as a result of higher operating revenues and expense savings from various cost containment initiatives, including previous labour force reductions, supplier procurement savings, productivity improvements in our field
operations and hedging of our U.S. dollar-denominated purchases at more favourable rates. Our EBITDA performance this quarter also reflected a relatively stable rate of erosion in our high-margin residential wireline business as evidenced by fewer
network access service (NAS) line losses year over year.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We balanced solid financial performance this quarter with improved wireless, TV and high-speed Internet subscriber acquisition. We grew total net customer connections from these services by
approximately 78% year over year, reflecting effective execution of our marketing program, ongoing improvement in service delivery, and the positive impact of our investments in new wireless and higher-speed wireline broadband networks.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Total wireless net activations increased 84% this quarter to 55,625 on a record number of first-quarter gross customer activations which grew 17.2% year over year. This performance was enabled by the
launch of the new high-speed packet access (HSPA+) network, our expanded line-up of smartphone devices, and the availability of Bell&nbsp;Mobility&nbsp;Inc. (Bell&nbsp;Mobility) and Virgin wireless products at The Source. Postpaid net activations more than doubled as compared to Q1 2009, increasing to a best-ever first-quarter total of 81,212. By leveraging our new wireless network and distribution capabilities, we captured a significantly higher market share of
the postpaid net activations reported by the three major wireless carriers in
Canada in Q1&nbsp;2010, which increased to 42%
from 19% in the first quarter of&nbsp;2009. We lost 25,587 net prepaid customers due to a higher number of inactive customer accounts. </font>
<font
size="2" face="Arial">&nbsp;</font></P>
<table border="0" width="100%" cellspacing="0" cellpadding="0">
	<tr>
		<td width="2%" valign="top"><I><font size="1" face="Arial">(1)</font></I></td>
		<td width="98%" valign="top"><I><font size="1" face="Arial">EBITDA (earnings before interest, taxes, depreciation and amortization of intangible assets) is a non-GAAP financial measure. See
</font></I><FONT face="Arial" size="1">Non-GAAP Financial Measures &#150; EBITDA </FONT><I>
<font size="1" face="Arial">in this MD&amp;A for more details, including a reconciliation to the most comparable Canadian GAAP financial measure.</font></I></td>
	</tr>
</table>
<P align="left">
<I><font size="2" face="Arial">&nbsp;</font></I></P>




<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; <b>3</b></font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<font size="2" face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bell&nbsp;TV continued to leverage its position as the industry leader in high-definition (HD) programming and introduced enhancements to its DTH satellite platform. This supported the addition of 19,889
net new TV subscribers in Q1&nbsp;2010, representing a 69% increase compared with the previous year. The year-over-year improvement was mainly due to higher wholesale activations and increased sales in our direct retail channels.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;High-speed Internet net activations were up 67% this quarter to 10,467, even with a maturing Canadian Internet market and continuing aggressive acquisition offers from our competitors. The
year-over-year increase was due to higher residential net activations and fewer business customer deactivations. Our improved residential performance was driven mainly by lower churn as a result of our competitive product offers during the quarter,
which included the launch of Bell&nbsp;Fibe Internet, and improvements in service delivery.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bell&#146;s NAS line losses in Q1&nbsp;2010 improved 4.2% year over year, even with ongoing aggressive competition from the cable TV operators, reflecting more effective residential winback efforts, the
positive impact of bundled service offerings, and fewer losses to competitive local exchange carriers (CLECs). While both residential and business net losses improved this quarter, the annualized rate of total NAS erosion increased to 6.1% from 5.5%
in the first quarter of&nbsp;2009, reflecting a higher number of business customer disconnections and fewer new installations over the past year due to the soft economy.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Capital spending at Bell&nbsp;decreased 10.6% this quarter to &#36;431&nbsp;million from &#36;482&nbsp;million in Q1&nbsp;2009, mainly as a result of higher spending in&nbsp;2009 on the construction of the HSPA+ wireless
network which was launched in November&nbsp;2009. Although total expenditures were lower year over year, we maintained spending on key strategic priorities, including the deployment of fibre to our wireline broadband network and investments to improve
overall customer service.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;For BCE, operating revenues grew 2.3% in Q1&nbsp;2010 and EBITDA increased 1.4%, mainly as a result of better year-over-year results at Bell&nbsp;as described above.<br>
</font><font size="2"><font face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;BCE&#146;s cash flows from operating activities increased to &#36;1,098&nbsp;million in Q1&nbsp;2010 from &#36;925&nbsp;million in Q1&nbsp;2009. Free cash flow</font><SUP><FONT face="Arial">(2) </FONT></SUP>
</font><font size="2" face="Arial">available to BCE&nbsp;Inc.&#146;s common shareholders more than doubled year-over-year to &#36;545&nbsp;million in Q1&nbsp;2010 from &#36;272&nbsp;million in Q1&nbsp;2009. The year-over-year increase was primarily the result of lower cash taxes paid due to
savings from a voluntary &#36;500&nbsp;million pension plan contribution made at the end of&nbsp;2009, decreased capital spending and improvements in working capital.<br>
</font><font size="2"><font face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Net earnings applicable to common shares for the first quarter of&nbsp;2010 were &#36;608&nbsp;million, or &#36;0.79 per share, compared with &#36;377&nbsp;million, or &#36;0.48 per share, in the first quarter of
2009. The year-over-year increase in earnings was due mainly to lower restructuring and other charges and gains on sale of non-core assets. Adjusted net earnings per share</font><SUP><FONT face="Arial">(3) </FONT></SUP>
</font><font size="2" face="Arial">(Adjusted
EPS) increased 14.0% to &#36;0.65 per common share in Q1&nbsp;2010 from &#36;0.57 per common share in the previous year, primarily as a result of higher EBITDA, decreased interest expense, lower depreciation and amortization expense and fewer common
shares outstanding due to share repurchases under BCE&nbsp;Inc.&#146;s current normal course issuer bid (NCIB) program.</font></P>
<P align="left">
<B><FONT face="Arial">Bell&nbsp;Customer Connections</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">TOTAL </FONT>
	</TD>
	<TD align=left width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2010 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">CONNECTIONS </FONT>
	</TD>
	<TD align=left width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">NET </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">MARCH&nbsp;31, </FONT>
	</TD>
	<TD align=left width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1">&nbsp;</font></TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">ACTIVATIONS </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2010 </FONT>
	</TD>
	<TD align=left width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">NAS </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(99,829 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">6,761,193 </FONT>
	</TD>
	<TD align=left width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Growth services portfolio: </FONT>
	</TD>
	<TD align=left width="10%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Wireless </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">55,625 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">6,888,927 </FONT>
	</TD>
	<TD align=left width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">High-speed Internet </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">10,467 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,067,458 </FONT>
	</TD>
	<TD align=left width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">TV </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">19,889 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,968,766 </FONT>
	</TD>
	<TD align=left width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total growth services</FONT></B><font size="2"
face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">85,981</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">10,925,151</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE><P align="left">
<B><FONT face="Arial" size="2">OTHER CORPORATE AND BUSINESS DEVELOPMENTS</FONT></B></P>
<P align="left">
<B><FONT face="Arial">Launch of Bell&nbsp;Wireless products at The Source</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">The Source began rolling out Bell&nbsp;Mobility and Virgin wireless products to its retail locations on January&nbsp;4,&nbsp;2010. The Source, with its approximately 750 retail stores across&nbsp;Canada, gives us a national presence in the busiest
shopping malls and significantly increases the number of places where customers can buy Bell&nbsp;products and services.</FONT></P>
<table border="0" width="100%" cellspacing="0" cellpadding="0">
	<tr>
		<td width="2%" valign="top">
<I><font size="1" face="Arial">(2)
</font></I></td>
		<td width="98%" valign="top">
<P align="left">
<I><font size="1" face="Arial">Free cash flow is a non-GAAP financial measure. See
</font></I><FONT face="Arial" size="1">Non-GAAP Financial Measures &#150; Free cash flow </FONT><I>
<font size="1" face="Arial">in this MD&amp;A for more details, including a reconciliation
to the most comparable Canadian GAAP financial measure.</font></I></P>
		</td>
	</tr>
</table>
<table border="0" width="100%" cellspacing="0" cellpadding="0">
	<tr>
		<td width="2%" valign="top">
<I><font size="1" face="Arial">(3)</font></I></td>
		<td width="98%" valign="top"><I><font size="1" face="Arial">Adjusted net earnings and Adjusted EPS are non-GAAP financial measures. See
</font></I><FONT face="Arial" size="1">Non-GAAP Financial Measures &#150; Adjusted net earnings </FONT><I>
<font size="1" face="Arial">in this MD&amp;A for more details,
including a reconciliation to the most comparable Canadian GAAP financial measure.</font></I></td>
	</tr>
</table>
<p style="margin-top: 0; margin-bottom: 0"><b><font face="Arial" size="1"><br>
<br>
4</font></b><font size="1" face="Arial"><b> </b>&nbsp;BCE&nbsp;INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<B><FONT face="Arial">New broadband fibre initiatives</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Several new fibre initiatives supporting Bell&#146;s broadband investment strategy were introduced during the first quarter of&nbsp;2010, including the deployment of fibre-to-the-home (FTTH) in Qu&eacute;bec City and to new housing
developments in Ontario and Qu&eacute;bec, as well as the launch of an enhanced Internet service called Bell&nbsp;Fibe.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;FTTH will offer consumer and business customers Internet download speeds of
approximately 100 Megabits per second (Mbps) and upload speeds of approximately 20 Mbps. One of the first FTTH deployments in&nbsp;Canada,
Bell&#146;s Qu&eacute;bec City initiative is the largest city-wide FTTH roll-out in&nbsp;Canada. Because the Qu&eacute;bec City region is served largely by aerial infrastructure &#150; above-ground wiring on utility poles &#150; these extensive fibre deployments can be
accomplished much faster and more economically than in centres with underground infrastructure.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The deployment of FTTH in all new urban and suburban housing developments in Ontario and Qu&eacute;bec is expected to begin in the second half of&nbsp;2010. This is in addition to the company&#146;s
deployment of fibre-to-the-building (FTTB) in multiple-dwelling units (MDUs) already under way.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The launch of Bell&nbsp;Fibe Internet, enabled by our extensive fibre-to-the-node (FTTN) broadband deployment, is available to customers in Montr&eacute;al and the Greater Toronto Area and provides
customers access to increased upload speeds as high as 7 Mbps and download speeds up to 25 Mbps. At the end of the first quarter of&nbsp;2010, 3.1&nbsp;million homes were within our FTTN footprint, up from 2.5&nbsp;million a year ago.</FONT></P>
<P align="left">
<B><FONT face="Arial">Sale of non-core asset</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">In the first quarter of&nbsp;2010, BCE&nbsp;Inc. completed the sale of 22.1&nbsp;million shares in satellite services company SkyTerra Communications&nbsp;Inc.
(SkyTerra) following the acquisition of SkyTerra by private investment firm Harbinger Capital
Partners. The sale yielded proceeds of approximately &#36;113&nbsp;million. The sale of our interest in SkyTerra is consistent with our objective to eliminate holdings in businesses that do not enhance the execution of our strategic imperatives. The
proceeds of this transaction will support our strategic imperative to invest in broadband network and service expansion.</FONT></P>
<P align="left">
<B><FONT face="Arial">Repurchase of common shares</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">In the first quarter of&nbsp;2010, BCE&nbsp;Inc. commenced a share buyback program to purchase for cancellation up to 20&nbsp;million of its outstanding common shares, subject to a maximum aggregate purchase price of &#36;500&nbsp;million, through a
NCIB over a twelve-month period starting December&nbsp;29,&nbsp;2009 and ending on December&nbsp;28,&nbsp;2010. At May&nbsp;5,&nbsp;2010, BCE&nbsp;Inc. had purchased and cancelled 8.2&nbsp;million common shares for a total cost of &#36;240&nbsp;million.</FONT></P>




<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; <b>5</b></font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<B><FONT face="Arial" size="4">Quarterly Financial Information</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">The following table shows selected consolidated financial data of BCE, prepared in accordance with Canadian generally accepted accounting principles (GAAP), for the eight most recently completed quarters. This information has been
prepared on the same basis as the annual consolidated financial statements, but is unaudited.</FONT></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<B><FONT size=1 face="Arial">2010</FONT></B><font size="1" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="1" face="Arial">&nbsp;&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="1" face="Arial">&nbsp;2009</font></TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=1 face="Arial">2008 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=17 width="20%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">Q1</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">Q4 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">Q3 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">Q2 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">Q1&nbsp;</FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">Q4 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">Q3 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">Q2 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=17 width="20%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Operating revenues </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">4,432</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">4,650 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">4,457 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">4,297 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">4,331 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">4,476 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">4,437 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">4,388 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">EBITDA</FONT><SUP><FONT size=2 face="Arial">(1)</FONT></SUP><font
size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">1,784</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">1,737 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">1,801 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">1,791 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">1,760 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">1,741 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">1,769 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">1,743 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Depreciation </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">(610</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(704 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(636 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(630 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(625 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(683 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(619 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(612 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Amortization of intangible assets </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">(183</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(200 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(192 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(191 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(193 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(185 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(173 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(175 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">(29</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(82 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(191 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(146 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(108 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(207 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(310 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(71 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=17 width="20%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Operating income </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">962</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">751 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">782 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">824 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">834 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">666 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">667 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">885 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Earnings from continuing operations </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">637</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">377 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">584 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">376 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">412 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">23 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">303 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">415 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Discontinued operations </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(1 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(4 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(41 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(23 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(23 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=17 width="20%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net earnings (loss) </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">637</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">376 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">584 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">372 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">406 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(18 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">280 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">392 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net earnings (loss) applicable to common shares </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">608</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">350 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">558 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">346 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">377 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(48 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">248 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">361 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net earnings (loss) per common share </FONT>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Continuing operations &#150; basic </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">0.79</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.46 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.72 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.45 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.49 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(0.01 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.34 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.48 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Continuing operations &#150; diluted </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">0.79</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.46 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.72 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.45 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.49 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(0.01 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.33 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.48 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Net earnings &#150; basic </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">0.79</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.46 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.72 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.45 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.48 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(0.06 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.31 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.45 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Net earnings &#150; diluted </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">0.79</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.46 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.72 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.45 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.48 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(0.06 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.30 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.45 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Included in net earnings (loss): </FONT>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Net gains (losses) on investments </FONT>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width="8%">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 36px">
<FONT size=2 face="Arial">Continuing operations </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">125</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">11 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">36 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(346 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(14 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">4 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 36px">
<FONT size=2 face="Arial">Discontinued operations </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(4 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(3 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(26 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(16 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(20 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">(17</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(48 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(123 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(98 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(70 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(117 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(210 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">(48 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Adjusted net earnings</FONT><SUP><FONT size=2 face="Arial">(2)</FONT></SUP><font
size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">500</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">387 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">649 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">447 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">446 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">441 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">488 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">425 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Adjusted EPS</FONT><SUP><FONT size=2 face="Arial">(2)</FONT></SUP><font
size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">0.65</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.51 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.84 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.58 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.57 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.55 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.60 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">0.53 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="20%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Average number of common shares outstanding &#150; basic (millions) </FONT>
	</TD>
	<TD align=right width="8%">
<B><FONT size=2 face="Arial">765.7</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">767.2 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">767.2 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">769.0 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">788.3 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">806.4 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">806.0 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%">
<FONT size=2 face="Arial">805.6 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=17 width="28%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE><table border="0" width="100%" cellspacing="0" cellpadding="0">
	<tr>
		<td width="2%" valign="top">
<I><font size="1" face="Arial">(1)</font></I></td>
		<td width="98%" valign="top"><I><font size="1" face="Arial">EBITDA (earnings before interest, taxes, depreciation and amortization of intangible assets) is a non-GAAP financial measure. See
</font></I><FONT face="Arial" size="1">Non-GAAP Financial Measures &#150; EBITDA </FONT><I>
<font size="1" face="Arial">in this MD&amp;A for more details, including a reconciliation to the most comparable Canadian GAAP financial measure.</font></I></td>
	</tr>
	<tr>
		<td width="2%" valign="top">
<I><font size="1" face="Arial">(2)
</font></I></td>
		<td width="98%" valign="top"><I><font size="1" face="Arial">The terms Adjusted net earnings and Adjusted EPS are non-GAAP financial measures. See
</font></I><FONT face="Arial" size="1">Non-GAAP Financial Measures &#150; Adjusted net earnings </FONT><I>
<font size="1" face="Arial">in this MD&amp;A for
more details, including a reconciliation to the most comparable Canadian GAAP financial measure.</font></I></td>
	</tr>
</table>
<P align="left">
&nbsp;</P>






<p style="margin-top: 0; margin-bottom: 0"><b><font face="Arial" size="1">6</font></b><font size="1" face="Arial"><b> </b>&nbsp;BCE&nbsp;INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<B><FONT face="Arial" size="4">Financial Results Analysis</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">This section provides detailed information and analysis about our performance in the first quarter of&nbsp;2010 compared with the first quarter of&nbsp;2009. It focuses on our consolidated operating results and provides financial
information for each of our operating segments.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="2">CONSOLIDATED ANALYSIS</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font size="1" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">% CHANGE </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating revenues</FONT></B><font size="2"
face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">4,432</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">4,331 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2.3 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cost of revenue, exclusive of depreciation and amortization </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(1,174</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(1,086 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(8.1 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Selling, general and administrative expenses </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(1,474</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(1,485 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.7 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">EBITDA</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,784</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,760 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1.4 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Depreciation </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(610</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(625 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2.4 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Amortization of intangible assets </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(183</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(193 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">5.2 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(29</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(108 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">73.1 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income</FONT></B><font size="2"
face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">962</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">834 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">15.3 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other income </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">120</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">n.m. </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Interest expense </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(165</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(191 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">13.6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Pre-tax earnings from continuing operations</FONT></B><font
size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">917</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">644 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">42.4 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Income taxes </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(204</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(148 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(37.8 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Non-controlling interest </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(76</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(84 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">9.5 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Earnings from continuing operations</FONT></B><font
size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">637</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">412 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">54.6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Discontinued operations </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">n.m. </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Net earnings</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">637</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">406 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">56.9 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Dividends on preferred shares </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(29</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(29 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Net earnings applicable to common shares</FONT></B><font
size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">608</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">377 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">61.3 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Earnings per share (EPS)</FONT></B><font size="2"
face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">0.79</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.48 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">64.6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Adjusted EPS</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">0.65</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.57 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">14.0 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="100%" colspan="7">
<p style="text-indent: -12px; margin-left: 12px">
<I><FONT size=1 face="Arial">n.m.: not meaningful</FONT></I><font size="1"
face="Arial"> </font>
	</TD>
</TR>
</TABLE><P align="left">
<B><FONT face="Arial">Operating Revenues</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Total operating revenues at BCE&nbsp;were &#36;4,432&nbsp;million in the first quarter of&nbsp;2010, up from &#36;4,331&nbsp;million in the first three months of&nbsp;2009. Higher revenues from Bell, partly offset by lower revenues at Bell&nbsp;Aliant,
resulted in the year-over-year increase in total operating revenues this quarter.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bell&nbsp;revenue increased 3.8% in Q1&nbsp;2010 to &#36;3,758&nbsp;million from &#36;3,622&nbsp;million in the same quarter last year, due to higher revenues generated by both our Bell&nbsp;Wireline and Bell&nbsp;Wireless
segments. Bell&#146;s operating revenue in the quarter was comprised of service revenues totalling &#36;3,389&nbsp;million and product revenues of &#36;369&nbsp;million, representing improvements of 0.6% and 46%, respectively, when compared with the first
quarter of&nbsp;2009.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bell&nbsp;Wireline&#146;s revenues increased 2.5% in Q1&nbsp;2010, compared with the same quarter last year, due to higher product revenues resulting from the acquisition of The Source. Growth in revenues from
our video, Internet and IP broadband connectivity services, and increased equipment sales to business customers also contributed to the year-over-year improvement. This was partly offset by a decline in local residential voice and long distance
revenues reflecting a reduction in the NAS customer base, decreased connectivity revenues due mainly to business customer losses and competitive pricing pressures, as well as higher business NAS losses and continued soft demand for new access line
installations from small business customers given the gradual improvement in the economy.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bell&nbsp;Wireless segment revenue growth of 7.0% in the first quarter of&nbsp;2010 was due primarily to higher service revenues driven by a larger subscriber base, increased data usage, and the revenue
contribution from the acquisition of Virgin.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Revenues at Bell&nbsp;Aliant were 4.8% lower in the first quarter of&nbsp;2010 compared with the same quarter last year, due to the continued decline in its local voice and long distance revenues, largely
attributable to competitive losses and substitution for other services, as well as to lower IT product sales. These decreases were partially offset by higher revenues from growth in Internet and IP-based broadband connectivity services, and an
increase in wireless revenues.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;See </FONT><font size="2"><I><FONT face="Arial">Segmented Analysis </FONT></I>
</font><font size="2" face="Arial">for a discussion of operating revenues on a segmented basis.</font></P>




<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; </font><b><font face="Arial"
size="1">7</font></b></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<B><FONT face="Arial">Operating Expenses</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Operating expenses for BCE&nbsp;in the first three months of&nbsp;2010 were &#36;2,648&nbsp;million, compared with &#36;2,571&nbsp;million in the first quarter of&nbsp;2009. The year-over-year increase was due to higher cost of revenue, offset partly by
lower selling, general and administrative expenses.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Cost of revenue was &#36;1,174&nbsp;million in the first quarter of&nbsp;2010, compared with &#36;1,086&nbsp;million in the previous year, representing a year-over-year increase of 8.1%. Higher cost of revenue can
be attributed mainly to inclusion of operating expenses in our results from the acquisitions of The Source and Virgin, increased equipment sales, primarily to large business customers, and costs relating to a greater number of wireless gross
activations and handset upgrades year over year. Higher wireless network expenses related to our new HSPA+ network facilities and increased wireless data usage, higher cost of service at Bell&nbsp;TV from a larger subscriber base and increased
programming costs, as well as higher expenses related to Bell&#146;s role as the sole telecommunications provider of the Vancouver Winter Olympics, also contributed to the year-over-year increase in cost of revenue. These factors were partly offset
by decreased payments to other carriers due to reduced rates for traffic settled on their networks, and by cost savings realized through renegotiated service contracts with certain key IT vendors and outsource suppliers. Lower U.S. dollar hedge
rates in&nbsp;2010 on our U.S. dollar-denominated purchases of wireless devices, video set-top boxes (STBs) and cross-border exchange traffic also moderated the year-over-year increase in cost of revenue in the first quarter of this year.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Selling, general and administrative expenses include salaries, wages and benefits not directly attributable to a service or a product, net benefit plans cost, bad debt expense, taxes other than
income, marketing, advertising and sales commission costs, customer billing, call centre and IT costs, professional service fees and rent. Selling, general and administrative expenses decreased 0.7% to &#36;1,474&nbsp;million in Q1&nbsp;2010 from &#36;1,485
million in the same quarter in&nbsp;2009. The year-over-year improvement can be attributed to:</FONT></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">lower labour costs due to a reduced workforce (excluding the impact of acquisitions), as well as a decrease in outsourced labour as a result of improved install and repair times for Bell&#146;s home products and reduced
call centre volumes </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">lower net benefit plans cost.</FONT></P></li>
</ul>
<P align="left">
<FONT face="Arial" size="2">These factors were partly offset by a number of cost increases at Bell&nbsp;in Q1&nbsp;2010, including:</FONT></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">higher operating expenses from the consolidation of The Source and Virgin in our results
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">higher wireless subscriber acquisition costs and retention spending</FONT></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">increased customer care costs, including increased warranty and repair costs, as a result of supporting more sophisticated wireless devices and mobile services
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">increased sales and marketing costs to promote our new HSPA+ network and related wireless devices
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">higher advertising due to our sponsorship of the Vancouver Winter Olympics
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">an unanticipated outcome of an arbitration decision of a contract dispute related to prior years.</FONT></P>
	</li>
</ul>
<P align="left">
<B><FONT face="Arial">Operating Income</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">BCE&#146;s operating income was &#36;962&nbsp;million in the first quarter of&nbsp;2010, up 15.3% from &#36;834&nbsp;million in the corresponding quarter last year, due to higher operating income at Bell.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bell&#146;s operating income grew 21.3% in Q1&nbsp;2010 to &#36;787&nbsp;million from &#36;649&nbsp;million in Q1&nbsp;2009, mainly as a result of lower restructuring and other charges in&nbsp;2009 when charges were recorded
for voluntary and involuntary workforce reduction initiatives, including a retirement incentive for unionized employees, and the consolidation of employees to campus environments. Higher operating revenue, lower net benefit plans cost and decreased
depreciation and amortization expense also contributed to the year-over-year increase in operating income at Bell, which was offset partly by the factors described above that contributed to higher operating expenses.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bell&nbsp;Aliant&#146;s operating income in the first quarter of&nbsp;2010 was &#36;175&nbsp;million, compared with &#36;185&nbsp;million in the same quarter last year. The slight decrease can be attributed to lower
operating revenues, offset partly by lower operating expenses driven largely by the positive impact of cost containment initiatives such as workforce reductions and tight control over discretionary expenses.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;See </FONT><font size="2"><I><FONT face="Arial">Segmented Analysis </FONT></I>
</font><font size="2" face="Arial">for a discussion of operating income on a segmented basis.</font></P>
<P align="left">
<B><FONT face="Arial">EBITDA</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">EBITDA at BCE&nbsp;increased 1.4% in the first quarter of&nbsp;2010 to &#36;1,784&nbsp;million from &#36;1,760&nbsp;million in the same quarter last year, due to higher EBITDA at Bell. BCE&#146;s EBITDA margin remained relatively stable year over
year, decreasing slightly to 40.3% in Q1&nbsp;2010 from 40.6% in Q1&nbsp;2009.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bell&#146;s EBITDA in the first three months of&nbsp;2010 was &#36;1,455&nbsp;million, up 2.0% from &#36;1,426&nbsp;million in the same period last year. The year-over-year increase in Bell&#146;s EBITDA was driven
by lower net benefit plans cost, which favourably impacted Bell&nbsp;Wireline&#146;s EBITDA this quarter, while Bell&nbsp;Wireless&#146; EBITDA was down compared with the previous year due in part to an
unanticipated outcome of an arbitration decision of a contract dispute related to
prior years. As a result, Bell&#146;s EBITDA margin also decreased year-over-year to 38.7% in Q1&nbsp;2010 from 39.4% in Q1&nbsp;2009.</FONT></P>






<p style="margin-top: 0; margin-bottom: 0"><b><font face="Arial" size="1">8</font></b><font size="1" face="Arial"><b> </b>&nbsp;BCE&nbsp;INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<font size="2" face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bell&nbsp;Wireless&#146;s EBITDA decreased 5.1% in Q1&nbsp;2010. Excluding the impact of an
unanticipated outcome of an arbitration decision of a contract dispute related to prior years, Bell&nbsp;Wireless&#146;s EBITDA decreased 1.2% in Q1 2010 despite improved revenue growth, mainly as a result of the cost of acquiring a greater number of new subscribers year over year, increased cost of product sales, higher network-related expenses, and higher spending on customer retention and
handset upgrades.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;EBITDA at our Bell&nbsp;Wireline segment increased 5.1% in Q1&nbsp;2010, due primarily to lower net benefit plans cost, decreased labour costs attributable to a reduced workforce and productivity improvements,
decreased payments to other carriers due to lower rates for traffic terminated on their networks, as well as to cost savings achieved from vendor contract renegotiations with key IT and other outsource suppliers. The ongoing decrease in higher-margin legacy voice and data revenues, the inclusion of operating expenses from the acquisition of The Source, and costs related to our sponsorship of the Vancouver Winter Olympics partly offset the year-over-year improvement in Bell&nbsp;Wireline&#146;s
EBITDA.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Bell&nbsp;Aliant&#146;s EBITDA in the first quarter of&nbsp;2010 was down 1.5% year over year. The year-over-year decrease was due mainly to lower operating revenues, offset partly by reduced operating
expenses.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Lower net benefit plans cost had a positive impact on Bell&#146;s EBITDA in the first quarter of&nbsp;2010. Net benefit plans cost at Bell&nbsp;totalled &#36;4&nbsp;million this quarter, down from &#36;64&nbsp;million in
the same quarter last year. The year-over-year improvement can be attributed to higher returns on plan assets in&nbsp;2009 and a &#36;500&nbsp;million voluntary pension contribution made to Bell&#146;s defined benefit plan in December&nbsp;2009, offset partly by
the impact of a lower discount rate. Bell&#146;s net benefit plans cost in the first quarter of&nbsp;2010 also reflected a reversal of a valuation allowance. Net benefit plans cost at Bell&nbsp;Aliant in the first quarter was unchanged, year over year, at
&#36;24&nbsp;million. Accordingly, net benefit plans cost for BCE&nbsp;was &#36;28&nbsp;million in the first quarter of&nbsp;2010, compared with &#36;88&nbsp;million for the same quarter in the previous year.</font></P>
<P align="left">
<B><FONT face="Arial">Depreciation and Amortization of Intangible Assets</FONT></B></P>
<P align="left">
<i>
<FONT face="Arial">Depreciation</FONT></i></P>
<P align="left">
<FONT face="Arial" size="2">Depreciation of &#36;610&nbsp;million in the first quarter of&nbsp;2010 represented a decrease of &#36;15&nbsp;million, or 2.4%, compared to &#36;625&nbsp;million for the same period last year due to lower depreciation rates used under the group
method and a lower asset base.</FONT></P>
<P align="left">
<i>
<FONT face="Arial">Amortization of Intangible Assets</FONT></i></P>
<P align="left">
<FONT face="Arial" size="2">Amortization of intangible assets of &#36;183&nbsp;million in the first quarter of&nbsp;2010 represented a decrease of &#36;10&nbsp;million, or 5.2%, compared to &#36;193&nbsp;million for the same period last year as a large intangible asset became
fully amortized at the end of&nbsp;2009.</FONT></P>
<P align="left">
<B><FONT face="Arial">Restructuring and Other</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">We recorded restructuring and other charges of &#36;29&nbsp;million in the first quarter of&nbsp;2010. These included:</FONT></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">charges related to voluntary and involuntary workforce reduction initiatives of &#36;11&nbsp;million at Bell&nbsp;and &#36;11&nbsp;million at Bell&nbsp;Aliant
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">charges of &#36;2&nbsp;million at Bell&nbsp;for relocating employees and closing real
estate facilities that are no longer needed </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">other charges of &#36;5&nbsp;million.</FONT></P></li>
</ul>
<P align="left">
<FONT face="Arial" size="2">We recorded restructuring and other charges of &#36;108&nbsp;million in the first quarter of&nbsp;2009. These included:</FONT></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">charges related to voluntary and involuntary workforce reduction initiatives of &#36;57&nbsp;million at Bell&nbsp;and &#36;8&nbsp;million at Bell&nbsp;Aliant
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">charges of &#36;33&nbsp;million at Bell&nbsp;for relocating employees and closing real
estate facilities that are no longer needed </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">other charges of &#36;10&nbsp;million.</FONT></P>
	</li>
</ul>
<P align="left">
<B><FONT face="Arial">Other Income</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">In Q1&nbsp;2010, we recorded other income of &#36;120&nbsp;million primarily from the gain on sale of our investment in SkyTerra.</FONT></P>
<P align="left">
<B><FONT face="Arial">Interest Expense</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Interest expense of &#36;165&nbsp;million in the first quarter of&nbsp;2010 represented a decrease of &#36;26&nbsp;million, or 13.6%, compared to &#36;191&nbsp;million for the same period last year as a result of lower average debt levels.</FONT></P>
<P align="left">
<B><FONT face="Arial">Income Taxes</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Income taxes of &#36;204&nbsp;million in the first quarter of&nbsp;2010 represented an increase of &#36;56&nbsp;million, or 37.8%, compared to &#36;148&nbsp;million for the same period last year mainly as a result of higher taxable earnings partially
offset by a decrease in the statutory tax rates in&nbsp;2010.</FONT></P>




<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; </font><b><font face="Arial"
size="1">9</font></b></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<B><FONT face="Arial">Non-Controlling Interest</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Non-controlling interest of &#36;76&nbsp;million in the first quarter of&nbsp;2010 represented a decrease of &#36;8&nbsp;million, or 9.5%, compared to &#36;84&nbsp;million for the same period last year due to lower earnings at Bell&nbsp;Aliant.</FONT></P>
<P align="left">
<B><FONT face="Arial">Net Earnings and EPS</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Net earnings applicable to common shares for the first quarter of&nbsp;2010 were &#36;608&nbsp;million, or &#36;0.79 per common share, compared with net earnings of &#36;377&nbsp;million, or &#36;0.48 per common share for the same period last
year. The increase is due in part to a decrease in restructuring and other charges in Q1&nbsp;2010 as compared to Q1&nbsp;2009 as well as higher gains on investments in Q1&nbsp;2010 as compared to the same period last year.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Excluding the impact of these restructuring and other charges and gains on investments, Adjusted net earnings were &#36;500&nbsp;million in the first quarter of&nbsp;2010, an increase of &#36;54&nbsp;million
compared to &#36;446&nbsp;million for the same period last year. This increase was a result of higher EBITDA, lower depreciation and amortization expense and lower interest expense. As a result, Adjusted EPS increased 14.0% in Q1&nbsp;2010 to &#36;0.65 per
common share from &#36;0.57 in Q1&nbsp;2009, which also reflects the impact of fewer outstanding common shares.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="2">SEGMENTED ANALYSIS</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">OPERATING REVENUES </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font size="1" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=center width="10%">
<p align="right">
<FONT size=1 face="Arial">% CHANGE </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Wireline </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">2,658</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,592 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2.5 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Wireless </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,153</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,078 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">7.0 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Inter-segment eliminations </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(53</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(48 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(10.4 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;</FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">3,758</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3,622 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3.8 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">779</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">818 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(4.8 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Inter-segment eliminations </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(105</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(109 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3.7 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total operating revenues</FONT></B><font size="2"
face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">4,432</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">4,331 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2.3 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">OPERATING INCOME </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font size="1" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=center width="10%">
<p align="right">
<FONT size=1 face="Arial">% CHANGE </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Wireline </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">516</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">349 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">47.9 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Wireless </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">271</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">300 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(9.7 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;</FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">787</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">649 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">21.3 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">175</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">185 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(5.4 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total operating income</FONT></B><font size="2"
face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">962</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">834 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">15.3 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<B><FONT face="Arial">Bell&nbsp;Wireline Segment</FONT></B></P>
<P align="left">
<I><FONT face="Arial">Bell&nbsp;Wireline Revenue</FONT></I></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">BELL WIRELINE REVENUE </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font size="1" face="Arial">
</font>
	</TD>
	<TD width=2%>
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD width=2%>
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width="10%">
<p align="right">
<FONT size=1 face="Arial">% CHANGE </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Local and access </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">762</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">805 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(5.3 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Long distance </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">238</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">278 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(14.4 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Data </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">912</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">912 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Video </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">428</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">387 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">10.6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Equipment &amp; other </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">237</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">133 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">78.2 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Total external revenues </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">2,577</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,515 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2.5 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Inter-segment revenues </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">81</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">77 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">5.2 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total Bell&nbsp;Wireline revenue</FONT></B><font
size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">2,658</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,592 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2.5 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE><P align="left">
<FONT face="Arial" size="2">Bell&nbsp;Wireline&#146;s revenues totalled &#36;2,658&nbsp;million in the first quarter of&nbsp;2010, up 2.5% from &#36;2,592&nbsp;million in the first quarter of&nbsp;2009. Year-over-year revenue increases of &#36;41&nbsp;million in video and &#36;104
million in equipment and other were partly offset by decreases of &#36;43&nbsp;million and &#36;40&nbsp;million in local and access and long distance, respectively. Data revenue was constant year over year.</FONT></P>






<p style="margin-top: 0; margin-bottom: 0"><b><font face="Arial" size="1">10</font></b><font size="1" face="Arial"><b> </b>&nbsp;BCE&nbsp;INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<FONT face="Arial">Local and access</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Local and access revenues declined 5.3% in the first quarter of&nbsp;2010 to &#36;762&nbsp;million from &#36;805&nbsp;million in the first quarter of&nbsp;2009. The year-over-year decrease was due largely to ongoing NAS erosion and reprice pressures
mainly within our large business segment from matching competitive offers. The adverse impact of these factors in Q1&nbsp;2010 was moderated by price increases applied at the beginning of&nbsp;2010 on our Home Phone packages.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Our NAS net losses in the first three months of&nbsp;2010 were 99,829, representing a 4.2% improvement as compared to 104,239 net losses in the corresponding period last year. This result reflected
decreased residential and business NAS line losses of 2.8% and 8.5%, respectively, year-over-year. Despite ongoing aggressive competition from both cable TV operators and CLECs, the year-over-year reductions in NAS line losses can be attributed to
the benefits of service bundling, more effective winback efforts, fewer losses to CLECs, and the slowing of our cable TV competitors&#146; geographic expansion of digital telephone service.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;At March&nbsp;31,&nbsp;2010, our combined residential and business NAS customer base totalled 6,761,193 lines (comprised of 3,810,912 residential lines and 2,950,281 business lines), compared with 7,204,207
lines (comprised of 4,143,305 residential lines and 3,060,902 business lines) at the end of the first quarter of&nbsp;2009. While we experienced fewer NAS losses year over year, the annualized rate of erosion on our total NAS customer base was 6.1% in
the first quarter of&nbsp;2010 compared with 5.5% in the first quarter of&nbsp;2009. Consistent with an economy in the beginning stages of recovery, our rate of business NAS erosion stabilized quarter over quarter, decreasing to 3.6% from 3.7% in Q4&nbsp;2009.
However, given the higher number of business customer disconnections and soft demand for new installations in Ontario and Qu&eacute;bec over the past year, our annualized rate of business NAS erosion was higher, year over year, at 3.6% compared with
2.2% in the first quarter of&nbsp;2009. Our annualized rate of residential NAS erosion of 8.0% in Q1&nbsp;2010 was relatively stable compared with 7.9% in the previous quarter and 7.8% in Q1&nbsp;2009.</FONT></P>
<P align="left">
<FONT face="Arial">Long distance</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Long distance revenues decreased 14.4% in the first quarter of&nbsp;2010 to &#36;238&nbsp;million from &#36;278&nbsp;million in the first quarter of&nbsp;2009, due primarily to lower billed minute volumes resulting from residential and business NAS
line erosion, toll competition, rate pressures in our business and wholesale markets, as well as technological substitution to wireless and Internet. The continuing shift by residential customers towards unlimited or large usage packages for a set
monthly price instead of per-minute rates and the increased adoption of lower priced rate plans by small business customers to optimize overall telecom spending also contributed to lower long distance revenues this quarter.</FONT></P>
<P align="left">
<FONT face="Arial">Data</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Data revenues in the first quarter remained unchanged year over year at &#36;912&nbsp;million. Higher IP broadband connectivity revenue from our business and wholesale customers, increased equipment sales to large business customers,
as well as higher Internet service revenue driven by a greater number of high-speed Internet customer connections and higher residential Internet
average revenue per unit (ARPU), were offset by lower legacy data revenues and a decline in information and communications
technology (ICT) sales. The decline in legacy data revenue can be attributed to ongoing business customer migrations to IP-based systems, competitive losses, pricing pressures in our business and wholesale market segments, and a reduced volume of
digital network access circuits in use by our business customers stemming from the slowdown in the economy during the course of last year.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We added 10,467 net high-speed Internet subscribers in the first quarter of&nbsp;2010 compared with 6,288 in the first three months of&nbsp;2009. Notwithstanding a maturing Internet market, our
competitors&#146; continuing aggressive acquisition offers and the growing popularity of wireless Internet sticks, the year-over-year increase in high-speed Internet subscribers was due to higher residential net activations and fewer business
customer deactivations. Our improved residential performance was driven mainly by lower churn as a result of our competitive product offers during the quarter, including the launch of Bell&nbsp;Fibe, and improvements in service delivery. At March&nbsp;31,
2010, we had 2,067,458 high-speed Internet subscribers, representing a 0.3% increase since the end of the first quarter of&nbsp;2009.</FONT></P>
<P align="left">
<FONT face="Arial">Video</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Video revenues increased 10.6% in the first quarter of&nbsp;2010 to &#36;428&nbsp;million from &#36;387&nbsp;million in the first quarter of&nbsp;2009 as a result of higher ARPU and a larger customer base. Video ARPU in Q1&nbsp;2010 was up 5.5%, or
&#36;3.76, to &#36;72.60 per month from &#36;68.84 per month in Q1&nbsp;2009. The year-over-year improvement in video ARPU was due to customer upgrades to higher-priced programming packages, driven partly by increased customer adoption of premium STBs,
and price increases.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We added 19,889 net video subscribers in the first quarter of&nbsp;2010, compared with 11,743 in the same quarter last year. The year-over-year improvement can be attributed mainly to higher wholesale
activations and increased sales through our direct channels. Our video churn rate in Q1&nbsp;2010 remained unchanged year over year at 1.1%. At March&nbsp;31,&nbsp;2010, our video subscriber base totalled 1,968,766, representing a 5.6% increase since the end of
Q1&nbsp;2009.</FONT></P>




<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; </font><b><font face="Arial"
size="1">11</font></b></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<FONT face="Arial">Equipment &amp; other</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Equipment and other revenues increased 78% to &#36;237&nbsp;million in the first quarter of&nbsp;2010 from &#36;133&nbsp;million in the same quarter last year, mainly as a result of the acquisition of The Source in the third quarter of
2009.</FONT></P>
<P align="left">
<I><FONT face="Arial">Bell&nbsp;Wireline Operating Income</FONT></I></P>
<P align="left">
<FONT face="Arial" size="2">Operating income for our Bell&nbsp;Wireline segment was &#36;516&nbsp;million in the first quarter of&nbsp;2010, up from &#36;349&nbsp;million in the first quarter of&nbsp;2009. The year-over-year increase was due primarily to:</FONT></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">higher video, Internet and IP broadband connectivity revenues, and increased equipment sales to business customers
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">a decline in labour costs due to a reduced workforce (excluding the impact of acquisitions), and
decreased use of outsourced labour and contractors as a result of improved install and repair times for Bell&#146;s home products and lower contact centre call volume
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">decreased payments to other carriers due to reduced rates
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">cost
savings realized through renegotiated contracts with IT vendors and other outsource suppliers
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">lower U.S. dollar hedge rates in&nbsp;2010 on our U.S. dollar-denominated purchases
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">decreased net benefit plans cost </FONT></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">lower depreciation and
amortization expense </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">lower restructuring and other charges in&nbsp;2010.</FONT></P>
	</li>
</ul>
<P align="left">
<FONT face="Arial" size="2">The favourable impact on operating income this quarter from these factors was partly offset by:</FONT></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">the loss of higher-margin legacy voice and data revenues due to erosion of our residential NAS customer base and business customer losses
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">increased cost of service at Bell&nbsp;TV as a result of subscriber base growth and
increased programming costs due to the addition of new channels to our content line-up
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">higher operating expenses and marketing costs related to Bell&#146;s sponsorship of the Vancouver Winter Olympics.</FONT></P>
	</li>
</ul>
<P align="left">
<B><FONT face="Arial">Bell&nbsp;Wireless Segment</FONT></B></P>
<P align="left">
<I><FONT face="Arial">Bell&nbsp;Wireless Revenue</FONT></I></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">BELL WIRELESS REVENUE </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font size="1" face="Arial">
</font>
	</TD>
	<TD width=2%>
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD width=2%>
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width="10%">
<p align="right">
<FONT size=1 face="Arial">% CHANGE </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Service </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,056</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">986 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">7.1 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Product </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">86</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">82 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">4.9 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Total external revenues </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,142</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,068 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">6.9 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Inter-segment revenues </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">11</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">10 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">10.0 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total Bell&nbsp;Wireless revenue</FONT></B><font
size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,153</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,078 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">7.0 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE><P align="left">
<FONT face="Arial" size="2">Bell&nbsp;Wireless operating revenues, comprised of network service and product revenues, increased 7.0% to &#36;1,153&nbsp;million in the first quarter of&nbsp;2010 from &#36;1,078&nbsp;million in the first quarter of&nbsp;2009.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Wireless service revenue in Q1&nbsp;2010 grew by 7.1% to &#36;1,056&nbsp;million from &#36;986&nbsp;million in Q1&nbsp;2009. The year-over-year improvement was the result of subscriber base growth, increased wireless
data usage, and the acquisition of Virgin.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Product revenues were 4.9% higher in the first quarter of&nbsp;2010, increasing to &#36;86&nbsp;million from &#36;82&nbsp;million in the same quarter in&nbsp;2009. The year-over-year increase was due to the acquisitions
of The Source and Virgin, increased sales of smartphones and other wireless handsets due to higher subscriber acquisition and upgrade volumes, as well as increased sales of wireless Internet sticks.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Beginning in the third quarter of&nbsp;2009, wireless ARPU, churn and cost of acquisition (COA) reflect 100% of Virgin&#146;s results. These metrics, prior to this time, reflected our previous 50%
ownership. Wireless gross activations, net activations and end-of-period subscribers in prior periods always have included 100% of Virgin&#146;s subscribers.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Blended ARPU decreased to &#36;50.07 per month in Q1&nbsp;2010 from &#36;51.52 in Q1&nbsp;2009, due primarily to the inclusion of a higher proportion of Virgin prepaid customers in our ARPU calculation and
lower postpaid ARPU year over year.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Postpaid ARPU decreased slightly year over year to &#36;61.72 per month in Q1&nbsp;2010 from &#36;62.34 per month in Q1&nbsp;2009. The decrease can be attributed to lower voice ARPU stemming from increased
customer adoption of richer rate plans with more services and voice minutes included at lower monthly prices (including the elimination of system access fees on new rate plans launched in November&nbsp;2009 that are only partly compensated for by a
&#36;5 monthly increase), reduced usage as employment rates and travel have not returned to pre-recession levels, and competitive pricing pressures due to increased market penetration by discount/flanker brands. The higher proportion of wireless
Internet stick subscribers, year over year, also contributed to lower postpaid ARPU in&nbsp;2010. These factors were offset partly by growth in data ARPU, reflecting increased use of text messaging, e-mail, wireless Internet access and other mobile
applications, and increased adoption of data plans consistent with the sale of a greater number of smartphones and other data-capable devices. Higher roaming revenues also moderated the year-over-year decrease in postpaid ARPU.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Prepaid ARPU increased to &#36;16.87 per month in Q1&nbsp;2010 from &#36;15.38 per month in the same quarter last year, mainly as a result of higher usage.</FONT></P>






<p style="margin-top: 0; margin-bottom: 0"><font size="1" face="Arial"><b>12 </b>&nbsp;BCE&nbsp;INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<font size="2" face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Similarly, on a pro forma basis, assuming the acquisition of Virgin occurred on January&nbsp;1,&nbsp;2009, postpaid ARPU in Q1&nbsp;2010 remained essentially unchanged year over year, while prepaid ARPU increased.
Postpaid ARPU was &#36;61.72 per month this quarter, compared with &#36;62.24 per month in Q1&nbsp;2009. Prepaid ARPU improved to &#36;16.87 per month from &#36;16.05 per month in the previous year. As a result, blended ARPU increased slightly to
&#36;50.07 per month in Q1&nbsp;2010 from &#36;49.84 per month in the first three months of&nbsp;2009.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We achieved a record number of first-quarter total gross wireless activations this year, which increased 17.2% to 428,834 in Q1&nbsp;2010 from 365,852 in Q1&nbsp;2009.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Postpaid gross activations totalled 264,312 in Q1&nbsp;2010, up 25.8% compared with 210,131 in the same quarter last year. Postpaid gross activations represented approximately 62% of total gross
activations in the first quarter of&nbsp;2010, compared with 57% in the first quarter of&nbsp;2009. The year-over-year increase in postpaid gross activations reflected the launch of the new HSPA+ network, our expanded array of smartphone devices
(predominantly iPhone, BlackBerry and Android devices), the roll-out of Bell&nbsp;Mobility and Virgin wireless products at The Source at the beginning of January, growth in activations of wireless Internet sticks, and the positive consumer response to
our promotional offers.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Prepaid gross activations increased 5.7% in Q1&nbsp;2010 to 164,522 from 155,721 in Q1&nbsp;2009, reflecting growth at Virgin and relatively higher overall market demand for prepaid products.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Our blended churn rate increased to 1.8% this quarter from 1.6% in Q1&nbsp;2009, as a result of higher prepaid churn. Prepaid churn increased to 3.4% in Q1&nbsp;2010 from 2.9% in Q1&nbsp;2009, due mainly to a higher
number of inactive customer accounts year over year. Postpaid churn in the first quarter was unchanged year over year at 1.2%, despite aggressive acquisition offers from our competitors, reflecting targeted customer retention activities and
continued enhancements in network coverage and quality.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;On a pro forma basis, our blended churn rate in the first quarter increased to 1.8% this year from 1.7% in&nbsp;2009. Postpaid churn decreased to 1.2% from 1.3% in Q1&nbsp;2009, due to lower churn at Virgin,
while prepaid churn increased to 3.4% in Q1&nbsp;2010 from 3.0% in Q1&nbsp;2009.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;As a result of higher gross activations, total wireless net activations increased 84% in the first quarter of&nbsp;2010 to 55,625 from 30,295 in the first quarter of&nbsp;2009. Postpaid net activations more
than doubled year over year, increasing to a record first-quarter total of 81,212 in Q1&nbsp;2010 compared with 35,021 in the first quarter of&nbsp;2009. However, due to higher churn, prepaid experienced a net subscriber loss of 25,587 in the first quarter of
2010, compared with a net decrease of 4,726 in the same quarter last year. Accordingly, at March&nbsp;31,&nbsp;2010, we provided service to 6,888,927 wireless subscribers, representing a 5.5% increase since the end of the first quarter of&nbsp;2009.</font></P>
<P align="left">
<I><FONT face="Arial">Bell&nbsp;Wireless Operating Income</FONT></I></P>
<P align="left">
<FONT face="Arial" size="2">Our Bell&nbsp;Wireless segment reported operating income of &#36;271&nbsp;million in the first quarter of&nbsp;2010, down from &#36;300&nbsp;million in the first quarter of&nbsp;2009. The year-over-year decrease was due to a combination of factors,
including:</FONT></P>
<ul>
	<li>
	<P align="left" style="line-height: -12px; margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">increased operating expenses consistent with the acquisitions of Virgin and The Source
	</FONT></P></li>
	<li>
	<P align="left" style="line-height: -12px; margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">higher subscriber acquisition costs </FONT></P>
	</li>
	<li>
	<P align="left" style="line-height: -12px; margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">increased spending on customer retention and handset upgrades
	</FONT></P></li>
	<li>
	<P align="left" style="line-height: -12px; margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">increased
expenses to maintain and promote the new HSPA+ network </FONT></P></li>
	<li>
	<P align="left" style="line-height: -12px; margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">higher costs to support growth in wireless data usage, content and services offered
	</FONT></P></li>
	<li>
	<P align="left" style="line-height: -12px; margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">increased labour costs to support a larger number of subscribers
	</FONT></P></li>
	<li>
	<P align="left" style="line-height: -12px; margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">increased warranty
and repair costs to support more sophisticated devices and services </FONT></P>
	</li>
	<li>
	<P align="left" style="line-height: -12px; margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">higher payments to other carriers as a result of increased data roaming
	</FONT></P></li>
	<li>
	<P align="left" style="line-height: -12px; margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">an unanticipated outcome of an arbitration decision of a contract dispute related to prior years.</FONT></P>
	</li>
</ul>
<P align="left">
<FONT face="Arial" size="2">These factors were partly offset by higher operating revenues and the favourable impact on product costs from lower U.S. dollar hedge rates in&nbsp;2010 on our U.S. dollar-denominated purchases of wireless devices.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Wireless COA per gross activation decreased by 8.8% in Q1&nbsp;2010 to &#36;362 from &#36;397 in Q1&nbsp;2009. On a pro forma basis, wireless COA per gross activation decreased by 3.2% in Q1&nbsp;2010 to &#36;362
from &#36;374 in the previous year. The decline in wireless COA per gross activation was due mainly to the favourable impact of a significantly higher number of gross activations and an increased proportion of wireless Internet stick activations
compared to the previous year, offset partly by higher selling and advertising costs.</FONT></P>




<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; <b>13</b></font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<B><FONT face="Arial">Bell&nbsp;Aliant Segment</FONT></B></P>
<P align="left">
<I><FONT face="Arial">Bell&nbsp;Aliant Revenue</FONT></I></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">BELL ALIANT REVENUE </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font size="1" face="Arial">
</font>
	</TD>
	<TD width=2%>
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD width=2%>
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width="10%">
<p align="right">
<FONT size=1 face="Arial">% CHANGE </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Local and access </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">321</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">336 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(4.5 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Long distance </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">92</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">100 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(8.0 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Data </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">159</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">152 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">4.6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Wireless </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">20</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">18 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">11.1 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">% </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Equipment &amp; other </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">121</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">142 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(14.8 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Total external revenues </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">713</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">748 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(4.7 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Inter-segment revenues </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">66</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">70 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(5.7 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total Bell&nbsp;Aliant revenue</FONT></B><font size="2"
face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">779</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">818 </FONT>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(4.8 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">%) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE><P align="left">
<FONT face="Arial" size="2">Bell&nbsp;Aliant revenues decreased 4.8% to &#36;779&nbsp;million in the first quarter of&nbsp;2010 from &#36;818&nbsp;million in the same quarter last year. The year-over-year decline resulted from the continued erosion of Bell&nbsp;Aliant&#146;s local
wireline and long distance businesses and lower IT product sales. These declines were partly offset by higher revenues from growth in Internet, IP-based broadband connectivity services, and wireless.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Local and access revenues decreased 4.5% in Q1&nbsp;2010 to &#36;321&nbsp;million from &#36;336&nbsp;million in Q1&nbsp;2009. This was due to a 5.1% decline in the NAS customer base since the end of the first quarter of
2009, reflecting competitive losses driven by aggressive pricing and an expansion in the cable competitive footprint, as well as substitution for other services including wireless and voice over Internet protocol (VoIP) services. The decline in
revenue was moderated by retention programs that targeted high-value customers, pricing increases in certain areas of Bell&nbsp;Aliant&#146;s territory, and increased penetration of features and service bundles. At March&nbsp;31,&nbsp;2010, Bell&nbsp;Aliant had
2,887,641 NAS in service, compared with 3,043,793 NAS one year earlier.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Long distance revenues were &#36;92&nbsp;million in the first quarter of&nbsp;2010, down 8.0% as compared to &#36;100&nbsp;million in the first quarter of&nbsp;2009. The decrease was due to a year-over-year decline in
minutes of use resulting from competitive losses and technology substitution to wireless calling and IP-based services. The continued shift by residential customers from per-minute rate plans to fixed-price packages also contributed to lower long
distance revenues at Bell&nbsp;Aliant this quarter.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Data revenues increased 4.6% in the first quarter of&nbsp;2010 to &#36;159&nbsp;million from &#36;152&nbsp;million in the first quarter of&nbsp;2009. The year-over-year improvement can be attributed largely to higher
Internet revenues driven by a 6.5% increase in the number of high-speed subscribers and higher residential ARPU from growth in value-added services and price increases in&nbsp;2009. At March&nbsp;31,&nbsp;2010, Bell&nbsp;Aliant had 822,113 high-speed Internet
subscribers compared with 771,675 subscribers one year earlier.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Wireless revenues grew 11.1% in the first quarter of&nbsp;2010 to &#36;20&nbsp;million from &#36;18&nbsp;million in the first quarter of&nbsp;2009. The year-over-year increase was due mainly to a larger subscriber base.
At March&nbsp;31,&nbsp;2010, Bell&nbsp;Aliant had 121,390 wireless customers, representing a 6.5% increase since the end of the first quarter of&nbsp;2009.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Equipment and other revenues decreased 14.8% in the first quarter of&nbsp;2010 to &#36;121&nbsp;million from &#36;142&nbsp;million in the first quarter of&nbsp;2009. The year-over-year decline was due to lower IT product
revenues as a result of customer sales made in the first quarter of&nbsp;2009 that did not recur this year.</FONT></P>
<P align="left">
<I><FONT face="Arial">Bell&nbsp;Aliant Operating Income</FONT></I></P>
<P align="left">
<FONT face="Arial" size="2">Operating income at Bell&nbsp;Aliant decreased 5.4% to &#36;175&nbsp;million in the first quarter of&nbsp;2010 from &#36;185&nbsp;million in the first quarter of&nbsp;2009. The year-over-year decline was due mainly to lower operating revenues, offset
partly by reduced labour costs as a result of workforce reduction programs initiated in&nbsp;2009 and decreased use of consultants and IT services contract labour. Other cost containment initiatives that resulted in reduced selling, general and
administrative expenses, as well as lower depreciation and amortization expense, also moderated the decrease in Bell&nbsp;Aliant&#146;s operating income this quarter.</FONT></P>






<p style="margin-top: 0; margin-bottom: 0"><b><font face="Arial" size="1">14</font></b><font size="1" face="Arial"><b> </b>&nbsp;BCE&nbsp;INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<B><FONT face="Arial">Financial and Capital Management</FONT></B></P>
<P align="left">
<I><FONT face="Arial" size="2">This section tells you how we manage our cash and capital resources to carry out our strategy and deliver financial results. It provides an analysis of our financial condition, cash flows and liquidity on a consolidated
basis.</FONT></I></P>
<P align="left">
<B><FONT face="Arial" size="2">NET DEBT</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">MARCH&nbsp;31,</FONT></B><font size="1" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">DECEMBER&nbsp;31, </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font size="1" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Debt due within one year</FONT><SUP><FONT size=2 face="Arial">(1)</FONT></SUP><font
size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">747</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">600 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Long-term debt </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">10,301</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">10,299 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Securitization of accounts receivable </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,305</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,305 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Preferred shares </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">2,770</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,770 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash and cash equivalents </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(748</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(687 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Net debt</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">14,375</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">14,287 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="100%" colspan="5">
<p style="text-indent: -12px; margin-left: 12px">
<I><FONT size=1 face="Arial">(1) Includes bank advances and notes payable.</FONT></I><font
size="1" face="Arial"> </font>
	</TD>
</TR>
</TABLE><P align="left">
<FONT face="Arial" size="2">Net debt increased &#36;88&nbsp;million to &#36;14,375&nbsp;million in the first quarter of&nbsp;2010 due mainly to an increase in debt due within one year, partly offset by an increase in cash and cash equivalents. Free cash flow of &#36;545
million in the first quarter of&nbsp;2010 was partly offset by dividends paid on common shares of &#36;310&nbsp;million and &#36;125&nbsp;million used to repurchase 4.2&nbsp;million common shares under BCE&nbsp;Inc.&#146;s current NCIB.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="2">OUTSTANDING SHARE DATA</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">MARCH&nbsp;31,</FONT></B><font size="1" face="Arial">
</font>
	</TD>
	<TD width=2%>
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">DECEMBER&nbsp;31, </FONT>
	</TD>
	<TD align=left width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<I><FONT size=1 face="Arial">(in&nbsp;millions)</FONT></I><font size="1"
face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font size="1" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Common shares </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">763.0</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">767.2 </FONT>
	</TD>
	<TD align=left width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Stock options </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">10.3</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width=2%>
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">11.3 </FONT>
	</TD>
	<TD align=left width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE><P align="left">
<FONT face="Arial" size="2">We had 763.0&nbsp;million common shares outstanding at March&nbsp;31,&nbsp;2010, a decrease of 4.2&nbsp;million from December&nbsp;31,&nbsp;2009 resulting from BCE&nbsp;Inc.&#146;s repurchase of 4.2&nbsp;million of its outstanding common shares for cancellation through
a NCIB.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The number of stock options outstanding at March&nbsp;31,&nbsp;2010 was 10.3&nbsp;million, a decrease of 1.0&nbsp;million from December&nbsp;31,&nbsp;2009. The weighted average exercise price of the stock options outstanding at March&nbsp;31,&nbsp;2010 was
&#36;32. Of the total outstanding stock options at March&nbsp;31,&nbsp;2010, 8.7&nbsp;million were exercisable at a weighted average exercise price of &#36;33.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="2">CASH FLOWS</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">The following table is a summary of our cash inflows and outflows.</FONT></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font size="1" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Cash flows from operating activities</FONT></B><font
size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,098</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">925 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant distributions to BCE&nbsp;</FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">73</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">73 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Capital expenditures </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(526</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(590 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other investing activities </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(21</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(13 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash dividends paid on preferred shares </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(28</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(28 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash distributions paid by subsidiaries to non-controlling interest </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(92</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(92 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant free cash flow </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">41</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(3 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Free cash flow</FONT></B><font size="2"
face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">545</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">272 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant undistributed free cash flow </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(114</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(70 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Business acquisitions </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">9</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(20 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Going-private costs </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Decrease in investments </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">10</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net issuance (repayment) of debt instruments </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">56</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash dividends paid on common shares </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(310</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(294 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Issue of common shares </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Repurchase of common shares </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(125</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(557 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other financing activities </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(11</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(10 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash used in discontinued operations </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(8 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Net increase (decrease) in cash and cash equivalents</FONT></B><font
size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">61</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=2%>
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(698 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>&nbsp;<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; <b>15</b></font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<B><FONT face="Arial">Cash Flows from Operating Activities</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Cash flows from operating activities were &#36;1,098&nbsp;million in the first quarter of&nbsp;2010, an increase of &#36;173&nbsp;million, or 18.7%, compared to &#36;925&nbsp;million in the first quarter of&nbsp;2009. The increase was due to:</FONT></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">a decrease of &#36;108&nbsp;million in income taxes paid due mainly to savings from the voluntary &#36;500&nbsp;million pension contribution made in&nbsp;2009
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">repayment of &#36;32&nbsp;million from securitization of accounts receivable
in&nbsp;2009 that did not occur in&nbsp;2010 </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">an improvement in working capital.</FONT></P>
	</li>
</ul>
<P align="left">
<FONT face="Arial" size="2">This increase was partly offset by an increase of &#36;63&nbsp;million in pension contributions.</FONT></P>
<P align="left">
<B><FONT face="Arial">Free Cash Flow</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Free cash flow this quarter was &#36;545&nbsp;million, an increase of &#36;273&nbsp;million, compared to free cash flow of &#36;272&nbsp;million in the first quarter of&nbsp;2009. This increase was due to higher cash flows from operating activities
of &#36;173&nbsp;million and lower capital expenditures of &#36;64&nbsp;million.</FONT></P>
<P align="left">
<B><FONT face="Arial">Capital Expenditures</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Capital expenditures for BCE&nbsp;were &#36;526&nbsp;million in the first quarter of&nbsp;2010, compared with &#36;590&nbsp;million in the first quarter of&nbsp;2009, reflecting lower spending at both Bell&nbsp;and Bell&nbsp;Aliant. As a percentage of revenues,
capital expenditures for BCE&nbsp;decreased to 11.9% in the first quarter of&nbsp;2010 from 13.6% in the same quarter last year.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;At Bell, capital expenditures decreased 10.6% in the first quarter of&nbsp;2010 to &#36;431&nbsp;million from &#36;482&nbsp;million in the same quarter last year. This represented a capital intensity ratio of 11.5%
in the first quarter of&nbsp;2010 compared with 13.3% in the first quarter of&nbsp;2009. The year-over-year-decrease in capital expenditures was due mainly to higher spending at Bell&nbsp;Wireless in&nbsp;2009 for the deployment of the new HSPA+ network that was
launched in November&nbsp;2009, lower expenditures on wireline network access given the relatively large investment we made last year on further enhancing our core IP multi-protocol label switching network, and reduced capital to maintain our legacy
network infrastructure. This was partly offset by increased investment in our wireline broadband network, reflecting the continued roll-out of fibre to residential neighbourhoods, new condominiums and other MDUs, the deployment of FTTH in new urban
and suburban housing developments in Ontario and Qu&eacute;bec, as well as ongoing network grooming to support the launch of IPTV in&nbsp;2010. Higher spending on fleet upgrades and IT to support our customer service improvement initiatives also
occurred this quarter.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Capital spending at Bell&nbsp;Aliant decreased to &#36;95&nbsp;million in the first quarter of&nbsp;2010 from &#36;108&nbsp;million in the first quarter of&nbsp;2009, mainly as a result of spending in the first quarter of
2009 that did not recur this year related to a long-term agreement with Bell&nbsp;to provide an enhanced transport network connecting Bell&nbsp;Mobility&#146;s cell sites in Atlantic&nbsp;Canada and regions of Qu&eacute;bec and Ontario.</FONT></P>
<P align="left">
<B><FONT face="Arial">Business Acquisitions</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">We invested &#36;20&nbsp;million in the first quarter of&nbsp;2009, principally a deposit on our agreed purchase of The Source.</FONT></P>
<P align="left">
<B><FONT face="Arial">Cash Dividends Paid on Common Shares</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">In the first quarter of&nbsp;2010, cash dividends paid on common shares increased as we paid a dividend of &#36;0.405 per common share, as compared to a dividend paid of &#36;0.365 per common share in the first quarter of&nbsp;2009, partly
offset by lower common shares outstanding in&nbsp;2010 as compared to the same period last year.</FONT></P>
<P align="left">
<B><FONT face="Arial">Repurchase of Common Shares</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">In the first quarter of&nbsp;2010, BCE&nbsp;Inc. repurchased and cancelled 4.2&nbsp;million of its outstanding common shares for a total cash outlay of &#36;125&nbsp;million under the&nbsp;2010 NCIB program.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In the first quarter of&nbsp;2009, BCE&nbsp;Inc. repurchased and cancelled 22.5&nbsp;million of its outstanding common shares for a total cash outlay of &#36;557&nbsp;million under the&nbsp;2008/2009 NCIB program.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="2">CREDIT RATINGS</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Our key credit ratings at May&nbsp;5,&nbsp;2010 remain unchanged from those described in the BCE&nbsp;2009 Annual MD&amp;A.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="2">LIQUIDITY</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Our cash requirements remain substantially unchanged from those described in the BCE&nbsp;2009 Annual MD&amp;A.</FONT></P>






<p style="margin-top: 0; margin-bottom: 0"><b><font face="Arial" size="1">16</font></b><font size="1" face="Arial"><b> </b>&nbsp;BCE&nbsp;INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<B><FONT face="Arial" size="2">RECENT DEVELOPMENTS IN LEGAL PROCEEDINGS</FONT></B></P>
<P align="left">
<font size="2" face="Arial">The following are updates to the legal proceedings described under the section
</font><font size="2"><I><FONT face="Arial">Legal Proceedings </FONT></I><FONT face="Arial">at pages 31 to 37 of the BCE&nbsp;2009 AIF filed with the Canadian securities
commissions (available on BCE&#146;s website at www.bce.ca and on SEDAR at www.sedar.com) and with the SEC under Form 40-F (available on EDGAR at www.sec.gov). For ease of reference, the updates below have, where applicable, been presented under the
same headings and in the same order as in the section entitled </FONT><I><FONT face="Arial">Legal Proceedings </FONT></I>
</font><font size="2" face="Arial">of the BCE&nbsp;2009 AIF.</font></P>
<P align="left">
<B><FONT face="Arial">Lawsuits Related to Bell&nbsp;Canada</FONT></B></P>
<P align="left">
<I><FONT face="Arial">Class Action Concerning Bell&nbsp;Canada and Bell&nbsp;Mobility Late Payment Charges</FONT></I></P>
<P align="left">
<FONT face="Arial" size="2">As discussed in more detail in the BCE&nbsp;2009 AIF, Bell&nbsp;Canada and Bell&nbsp;Mobility were defendants in a class action instituted on April&nbsp;11,&nbsp;2008 seeking the repayment of certain late payment charges and the payment of punitive
damages. On March&nbsp;29,&nbsp;2010, the parties agreed to settle this lawsuit, subject to approval by the Qu&eacute;bec Superior Court. The settlement had no material effect on the consolidated financial position or results of operations of BCE.</FONT></P>
<P align="left">
<I><FONT face="Arial">Class Action Concerning Bell&nbsp;TV Late Payment Charges</FONT></I></P>
<P align="left">
<FONT face="Arial" size="2">As discussed in more detail in the BCE&nbsp;2009 AIF, on February&nbsp;12,&nbsp;2008, the Ontario Superior Court certified as a class proceeding the plaintiff&#146;s action against Bell&nbsp;TV seeking the repayment of certain interest and
administration fees as well as the payment of punitive damages.<br>
</FONT><font size="2"><font face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;On March&nbsp;25,&nbsp;2010, the Supreme Court of&nbsp;Canada dismissed the plaintiff&#146;s application for leave to appeal the September&nbsp;11,&nbsp;2009 decision of the Ontario Court of Appeal which decided that Bell&nbsp;TV
had properly charged the administration fees and that they did not constitute &#147;interest&#148; as defined in the
</font><I><FONT face="Arial">Criminal Code </FONT></I></font><font size="2"
face="Arial">(Canada). Consequently, the Ontario Court of Appeal
decision is final and disposes of the class proceeding in its entirety.</font></P>
<P align="left">
<I><FONT face="Arial">Class Action Concerning Wireless Access Charges</FONT></I></P>
<P align="left">
<FONT face="Arial" size="2">As discussed in more detail in the BCE&nbsp;2009 AIF, Bell&nbsp;Mobility and Bell&nbsp;Aliant Regional Communications, Limited Partnership are defendants in a class action certified on September&nbsp;17,&nbsp;2007 by the Saskatchewan Court of Queen&#146;s
Bench seeking unspecified damages and punitive damages in connection with certain &#147;system access fees&#148; and &#147;system licensing charges&#148; invoiced by wireless communications service providers to their customers. This action is
referred to in the BCE&nbsp;2009 AIF as the &#147;Initial Action&#148;.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;On March&nbsp;15,&nbsp;2010, the Saskatchewan Court of Appeal granted the defendants&#146; leave to appeal applications regarding the July&nbsp;18, 2006 and September&nbsp;17,&nbsp;2007 certification decisions of the Court of
Queen&#146;s Bench as well as Bell&nbsp;Mobility&#146;s leave to appeal application regarding the February&nbsp;20,&nbsp;2008 decision of the Court of Queen&#146;s Bench concerning proper forum for the Initial Action. On the same date, the Court of Appeal also
dismissed the plaintiff&#146;s leave to appeal application regarding the May&nbsp;7,&nbsp;2009 decision of the Court of Queen&#146;s Bench which refused the plaintiff&#146;s request to add BCE&nbsp;Inc. and Bell&nbsp;Canada as defendants. Finally, the Court of Appeal
granted plaintiff&#146;s leave to appeal the May&nbsp;7,&nbsp;2009 decision of the Court of Queen&#146;s Bench that had refused to amend the certification order to convert the Initial Action into a national opt-out class action.</FONT></P>
<P align="left">
<B><FONT face="Arial">Lawsuits Related to Teleglobe&nbsp;Inc.</FONT></B></P>
<P align="left">
<I><FONT face="Arial">Teleglobe Estate Lawsuits</FONT></I></P>
<P align="left">
<FONT face="Arial" size="2">As discussed in more detail in the BCE&nbsp;2009 AIF, BCE&nbsp;Inc. and certain former directors and/or officers of Teleglobe&nbsp;Inc. and certain of its subsidiaries were defendants in three lawsuits referred to in the BCE&nbsp;2009 AIF under the
headings <i>Teleglobe Plan Administrator Lawsuit</i>, <i>Teleglobe Unsecured Creditor Lawsuit</i> and
<i>Kroll Restructuring Lawsuit</i>. These three lawsuits were being pursued by Kathy Morgan, in her capacity as plan administrator
for Teleglobe&nbsp;Inc. On April&nbsp;7,&nbsp;2010, the parties agreed to settle these lawsuits, subject to approval by the U.S. Bankruptcy Court for the District of Delaware. In advance of the settlement of these lawsuits, BCE&nbsp;Inc. and its insurers settled
related coverage issues and, as a result, the settlement of these lawsuits had no effect on the results of operations of BCE.</FONT></P>
<P align="left">
<font size="2" face="Arial"><br>
Please see the section </font><font size="2"><I><FONT face="Arial">Legal Proceedings </FONT></I>
</font><font size="2" face="Arial">of the BCE&nbsp;2009 AIF for a more complete description of the above-mentioned legal proceedings and for a description of other legal
proceedings involving us.</font></P>




<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; <b>17</b></font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0">&nbsp;</p>






<P align="left">
<B><FONT face="Arial">Updates to Our Regulatory Environment</FONT></B></P>
<P align="left">
<font size="2" face="Arial">The following are updates to the regulatory initiatives and proceedings described in the BCE&nbsp;2009 MD&amp;A under the section
</font><font size="2"><I><FONT face="Arial">Our Regulatory Environment </FONT></I><FONT face="Arial">(at pages 58 to 63
of the BCE&nbsp;2009 Annual Report), filed with the Canadian securities commissions (available on BCE&#146;s website at www.bce.ca and on SEDAR at www.sedar.com) and with the SEC under Form 40-F (available on EDGAR at www.sec.gov). For ease of reference,
the updates below have, where applicable, been presented under the same headings and in the same order as in the section entitled </FONT><I><FONT face="Arial">Our Regulatory Environment </FONT></I>
</font><font size="2" face="Arial">of the BCE&nbsp;2009
MD&amp;A.</font></P>
<P align="left">
<B><FONT face="Arial" size="2">TELECOMMUNICATIONS ACT</FONT></B></P>
<P align="left">
<B><FONT face="Arial">Key Telecommunications Issues</FONT></B></P>
<P align="left">
<I><FONT face="Arial">Commitment Under the CRTC Deferral Account Mechanism</FONT></I></P>
<P align="left">
<FONT face="Arial" size="2">Bell&nbsp;Canada&#146;s accumulated deferral account commitment is estimated at &#36;488&nbsp;million. In Telecom Decision&nbsp;2008-1, the CRTC approved Bell&nbsp;Canada&#146;s proposed initiatives to improve access to telecommunications services
for persons with disabilities using &#36;24&nbsp;million from its deferral account. The CRTC also approved the use of the remaining deferral account funds, estimated at &#36;464&nbsp;million, to fund the uneconomic cost of expanding broadband services to 112
communities, and determined that if such uneconomic cost is less than &#36;464&nbsp;million, then the remainder should be returned to residential customers in urban, non-high-cost serving areas within the Ontario and Qu&eacute;bec portions of the serving
areas of Bell&nbsp;Canada and Bell&nbsp;Aliant.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Pursuant to the follow-up processes related to Telecom Decision&nbsp;2008-1, on March&nbsp;30,&nbsp;2010, Bell&nbsp;Canada and Bell&nbsp;Aliant advised the CRTC that the uneconomic cost associated with their proposal to
provide wireless broadband services to the approved communities in all of the 112 approved areas as part of their deferral account-funded broadband expansion program is &#36;463.6&nbsp;million. Since only an insignificant residual amount is left in Bell&nbsp;Canada&#146;s deferral account, Bell&nbsp;Canada and Bell&nbsp;Aliant also indicated that they are not proposing to return any amount to residential customers at this time.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The CRTC decision on these proposals is pending. The CRTC can either accept the proposals or make adjustments which could affect the amount of the deferral account funds that would be needed for the
broadband expansion program, and could result in some returns to eligible customers. The decision is expected in the second half of this year.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="2">BROADCASTING ACT</FONT></B></P>
<P align="left">
<B><FONT face="Arial">Bell&nbsp;TV</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">As discussed in more detail in the BCE&nbsp;2009 MD&amp;A, Bell&nbsp;TV&#146;s DTH satellite television distribution undertaking licence was renewed in March&nbsp;2004 and was to expire on August&nbsp;31,&nbsp;2010. The licence has since been extended for
one year to August&nbsp;31,&nbsp;2011. While we expect this licence will be renewed at term, there is no assurance that this will happen, or of the terms under which renewal will be granted.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;On March&nbsp;22,&nbsp;2010, the CRTC issued Broadcasting Regulatory Policy CRTC&nbsp;2010-167 in which it maintained the obligation on broadcasting distribution undertakings like Bell&nbsp;TV to contribute 1.5% of their
annual broadcasting revenue to a new local programming improvement fund (LPIF). It also announced its intention to implement a regime where broadcasters can choose to either retain their existing regulatory protections or negotiate a value for
signal fee (VFS) with distributors. Under the proposed regime, if broadcasters choose to negotiate a VFS, and negotiations fail, they would have the right to require the deletion of any signals they own and for which they have the exhibition rights
from distribution in their market. In response to the position put forth by Bell&nbsp;TV and others, the CRTC also concluded that there is a legal uncertainty as to whether it has the jurisdiction to impose a VFS regime. The CRTC has referred the
question of its jurisdiction in this area to the Federal Court of Appeal for expedited hearing and determination. The VFS regime may not be implemented until the Federal Court of Appeal has decided the issue.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;On March&nbsp;23,&nbsp;2010 the CRTC issued a report to the Governor-in-Council on the implications and advisability of implementing a compensation regime for the value of local television signals. In its
report the CRTC referred the Governor-in-Council to Broadcasting Regulatory Policy CRTC&nbsp;2010-167 for the CRTC&#146;s findings and conclusions regarding the affordability and implications of a VFS regime; specifically, that a new regulatory regime
allowing a VFS is advisable. The CRTC also made the following recommendations to the Government: 1) amend the CRTC Act to clarify that the CRTC has the power to award interim or final costs and incidentals to participants in broadcasting proceedings
before it; 2) issue an order to the CRTC requesting it to seek establishment by broadcasting distributors of an independent self-regulatory body to address complaints regarding broadcasting distribution services; and 3)&nbsp;take several measures to
ensure that Canadians maintain access to over-the-air television stations after the transition to digital-only television service on August&nbsp;31,&nbsp;2011.</FONT></P>






<p style="margin-top: 0; margin-bottom: 0"><b><font face="Arial" size="1">18</font></b><font size="1" face="Arial"><b> </b>&nbsp;BCE&nbsp;INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<P align="left">
<B><FONT face="Arial" size="4">Assumptions and Risks that Could Affect Our Business and Results</FONT></B></P>
<P align="left">
<B><FONT face="Arial" size="2">ASSUMPTIONS MADE IN THE PREPARATION OF FORWARD-LOOKING STATEMENTS</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Forward-looking statements made in the BCE&nbsp;2009 MD&amp;A, as updated in this MD&amp;A, are based on a number of assumptions for&nbsp;2010 that we believed were reasonable on the day we made the forward-looking statements and that,
unless otherwise indicated in this MD&amp;A, we believe are still reasonable as at May&nbsp;5,&nbsp;2010 and have not substantially changed. In the BCE&nbsp;2009 MD&amp;A, we outlined the principal assumptions for&nbsp;2010 that we made in the preparation of
forward-looking statements contained therein. These assumptions included the following:</FONT></P>
<P align="left">
<B><FONT face="Arial">Assumptions About the Canadian Economy</FONT></B></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">growth in Canadian gross domestic product in&nbsp;2010 based on the estimates of the six major banks in&nbsp;Canada</FONT></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">consistent with this consensus view, we have assumed a gradual improvement in the Canadian economic environment with momentum beginning in the second half of&nbsp;2010.</FONT></P>
	</li>
</ul>
<P align="left">
<B><FONT face="Arial">Canadian Market Assumptions</FONT></B></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">increased spending and investment by business customers as the economic environment strengthens</FONT></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">revenues generated by the residential voice telecommunications market in&nbsp;Canada to continue to decrease due, in part, to land line substitution to competing technologies such as wireless, which is expected to increase in
2010 particularly as a result of aggressive competitive activity by new wireless entrants having purchased AWS spectrum, and VoIP and other factors including e-mail and instant messaging substitution
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">current levels of competition to continue
for residential and business local voice telephony, as cable operators and other telecom service providers maintain the intensity of their marketing efforts and continue to leverage their network footprints to pursue market share in our regions
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">wireless industry penetration growth in&nbsp;2010 similar to&nbsp;2009, and</FONT></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">TV and Internet market growth at levels slightly lower than&nbsp;2009, given the relatively high penetration rates and maturity levels for these products.</FONT></P>
	</li>
</ul>
<P align="left">
<B><FONT face="Arial">Operational Assumptions Concerning Bell&nbsp;Wireline (Excluding Bell&nbsp;Aliant)</FONT></B></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">targeted retention and service bundle offers, customer winbacks and better service execution to maintain residential customer NAS line losses steady year over year
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">the trend, pursuant to which business market demand
was adversely affected in&nbsp;2009 as business clients curtailed their spending and investment plans due to tighter credit availability, economic uncertainty, continued competition from offshore manufacturing and reduced employment levels, to continue
to have a negative impact on demand at least through the first two quarters of&nbsp;2010
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">increased business customer spending, new business formation and higher demand for basic connectivity and ICT services as the economic environment strengthens
to result in a gradual improvement in the performance of our Business Markets unit including business NAS line losses
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">expense savings to be achieved from renegotiated contracts with all our key IT vendors and outsource suppliers, the flow-through from labour force reductions in&nbsp;2009, field workforce productivity improvements, leveraging operational synergies from the integration in&nbsp;2009 of our business customer-facing units, controlling network maintenance costs, and reducing traffic
that is not on our own network.</FONT></P></li>
</ul>
<P align="left">
<B><FONT face="Arial">Operational Assumptions Concerning Bell&nbsp;Wireless (Excluding Bell&nbsp;Aliant)</FONT></B></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">higher employment levels, increased discretionary spending and the resumption of travel as the economic environment strengthens to result in higher wireless usage and roaming revenues
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">new wireless entrant competition
to intensify progressively throughout the course of&nbsp;2010 as additional service providers come to market
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">our wireless revenue growth to be driven by ARPU from new services, careful price management and a continued disciplined expansion of our
subscriber base</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Bell&nbsp;to benefit from ongoing technological improvements by manufacturers in Bell&#146;s handset and device line-up and from faster data speeds that are allowing clients to optimize the use of Bell&#146;s services
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">significant increase in our points of sale due to the launch of Bell&nbsp;Mobility and Virgin at The Source in January&nbsp;2010
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">diligent expense management to moderate the impact of aggressive discount/flanker brand and new entrant pricing, higher
retention spending and increased acquisition costs driven by increased smartphone customer penetration.</FONT></P>
	</li>
</ul>

<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; <b>19</b></font></p>
<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>





<P align="left">
<font size="2" face="Arial">Please see the section entitled </font>
<font size="2"><I><FONT face="Arial">Business Outlook </FONT></I><FONT face="Arial">
<i>and</i> </FONT><I><FONT face="Arial">Assumptions </FONT></I>
</font><font size="2" face="Arial">in the BCE&nbsp;2009 MD&amp;A at pages 28 to 30 of
the BCE&nbsp;2009 Annual Report for a more complete description of the above and other assumptions for&nbsp;2010 that we made in preparing forward-looking statements. If our assumptions turn out to be inaccurate, our actual results could be materially
different than what we expect.</font></P>
<P align="left">
<B><FONT face="Arial" size="2">RISKS THAT COULD AFFECT OUR BUSINESS AND RESULTS</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">A risk is the possibility that an event might happen in the future that could have a negative effect on our business, financial condition or results of operations. Part of managing our business is to understand what these
potential risks could be and to mitigate them where we can.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The actual effect of any event could be materially different from what we currently anticipate. In addition, our description of risks does not include all possible risks.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In the BCE&nbsp;2009 MD&amp;A we provided a detailed review of risks that could affect our business, financial condition or results of operations and that could cause actual results or events to differ
materially from our expectations expressed in or implied by our forward-looking statements. The risks described in the BCE&nbsp;2009 MD&amp;A included risks associated with:</FONT></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">the intensity of competitive activity, including the increase in wireless competitive activity that is expected to result from Industry&nbsp;Canada&#146;s licensing of AWS spectrum to new wireless entrants, and the resulting
impact on our ability to retain existing, and attract new, customers, and on our pricing strategies and financial results
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">general economic and financial market conditions, the level of consumer confidence and spending, and the demand for, and
prices of, our products and services </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">our ability to implement our strategies and plans in order to produce the expected benefits
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">our ability to continue to implement our cost reduction initiatives and contain capital intensity while
seeking to improve customer service </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">our ability to respond to technological changes and rapidly offer new products and services
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">increased contributions to employee benefit plans
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">events affecting the functionality of, and our
ability to protect, maintain and replace, our networks, IT systems and software
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">events affecting the ability of third-party suppliers to provide to us essential products and services
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">the quality of our network and customer equipment
and the extent to which they may be subject to manufacturing defects </FONT></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">labour disruptions </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">the potential adverse effects on our Internet and wireless businesses of the significant increase in broadband demand
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">our ability to raise
the capital we need to implement our business plan, including for BCE&nbsp;Inc.&#146;s share buyback program and dividend payments and to fund capital and other expenditures and generally meet our financial obligations
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">our ability to discontinue
certain traditional services as necessary to improve capital and operating efficiencies
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">regulatory initiatives or proceedings, litigation and changes in laws or regulations
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">launch and in-orbit risks of satellites used by Bell&nbsp;TV</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">competition from unregulated U.S. DTH satellite television services sold illegally in&nbsp;Canada and the theft of our satellite television services</FONT></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">BCE&nbsp;Inc.&#146;s dependence on the ability of its subsidiaries, joint ventures and other companies in which it has an interest to pay dividends and make other distributions
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">there can be no certainty that dividends
will be declared by BCE&nbsp;Inc.&#146;s board of directors or that BCE&nbsp;Inc.&#146;s dividend policy will be maintained
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">stock market volatility </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">our ability to maintain customer service and our networks operational in the event of the
occurrence of epidemics, pandemics and other health risks </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">health concerns about radio frequency emissions from wireless devices
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">loss of key employees.</FONT></P></li>
</ul>
<P align="left">
<font size="2" face="Arial">Please see the section entitled </font>
<font size="2"><I><FONT face="Arial">Risks that Could Affect Our Business and Results </FONT></I><FONT face="Arial">in the BCE&nbsp;2009 MD&amp;A at pages 63 to 69 of the BCE&nbsp;2009 Annual Report, and the sections
entitled </FONT><I><FONT face="Arial">Our Competitive Environment </FONT></I><FONT face="Arial">and </FONT><I><FONT face="Arial">Our Regulatory Environment </FONT></I>
</font><font size="2" face="Arial">in the BCE&nbsp;2009 MD&amp;A, at pages 55 to 63 of the BCE&nbsp;2009
Annual Report, for a more complete description of the above-mentioned and other risks.</font></P>




<p style="margin-top: 0; margin-bottom: 0"><b><font face="Arial" size="1">2</font></b><font size="1" face="Arial"><b>0 </b>&nbsp;BCE&nbsp;
	INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

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<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0" align="right">&nbsp;</p>





<P align="left">
<B><FONT face="Arial" size="2">UPDATE TO THE DESCRIPTION OF RISKS</FONT></B></P>
<P align="left">
<font size="2" face="Arial">The following is an update to the description of risks contained in the section entitled
</font><font size="2"><I><FONT face="Arial">Risks that Could Affect Our Business and Results </FONT></I><FONT face="Arial">of the BCE&nbsp;2009 MD&amp;A. For
ease of reference, the update to the description of risks below has been presented under the same heading as in the section entitled </FONT><I><FONT face="Arial">Risks that Could Affect Our Business and Results </FONT></I>
</font><font size="2" face="Arial">of the
BCE&nbsp;2009 MD&amp;A.</font></P>
<P align="left">
<B><FONT face="Arial">Regulatory initiatives or proceedings, pending or future litigation, changes in laws or regulations or government tax audits could have an adverse effect on our business and results of operations</FONT></B></P>
<P align="left">
<font size="2" face="Arial">On December&nbsp;2,&nbsp;2009, amendments to the Qu&eacute;bec
</font><font size="2"><I><FONT face="Arial">Consumer Protection Act </FONT></I>
</font><font size="2" face="Arial">(QCPA) were enacted and on April&nbsp;28,&nbsp;2010 further amendments to the Regulation respecting the
application of the QCPA were published, which introduce new provisions applicable to wireless, wireline, Internet and digital television service contracts. The amendments contain new rules for such contracts relating to disclosure, amendments,
renewal, termination and calculation of early cancellation fees. The amendments also introduce new rules applicable to the sale of prepaid long distance cards and disclosure on the sale of additional product warranties. The amendments are to come
into force no later than June&nbsp;30,&nbsp;2010. These new QCPA provisions will result in additional costs of providing products and services in the Province of Qu&eacute;bec, and may result in reduced revenues and additional churn.</font></P>
<P align="left">
<B><FONT face="Arial" size="4">Our Accounting Policies</FONT></B></P>
<P align="left">
<B><FONT face="Arial" size="2">BASIS OF PRESENTATION</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">We have prepared the consolidated financial statements according to Canadian GAAP using the same basis of presentation and accounting policies as outlined in Note 1 of the annual consolidated financial statements for the year
ended December&nbsp;31,&nbsp;2009.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="2">FUTURE CHANGES TO ACCOUNTING POLICIES AND STANDARDS</FONT></B></P>
<P align="left">
<B><FONT face="Arial">Multiple Deliverable Revenue Arrangements</FONT></B></P>
<P align="left">
<font size="2" face="Arial">In December&nbsp;2009, the Emerging Issues Committee of the
Canadian Accounting Standards Board (AcSB) issued EIC-175,
</font><font size="2"><I><FONT face="Arial">Multiple Deliverable Revenue Arrangements, </FONT></I><FONT face="Arial">which addresses certain aspects of accounting by a
vendor for arrangements under which it will perform multiple revenue-generating activities, amending the previous guidance under EIC-142, </FONT><I><FONT face="Arial">Revenue Arrangements with Multiple Deliverables. </FONT></I>
</font><font size="2" face="Arial">The
amendments require a vendor to allocate arrangement consideration at the inception of an arrangement to all deliverables using the relative selling price method, thus prohibiting the use of the residual method. EIC-175 also changes the level of
evidence of the standalone selling price required to separate deliverables when more objective evidence of the selling price is not available.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;EIC-175 may be applied prospectively and must be applied to revenue arrangements with multiple deliverables entered into or materially modified in the first annual fiscal period beginning on or after
January&nbsp;1,&nbsp;2011. Early adoption is permitted.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We are currently evaluating the impact and effective date of adoption of EIC-175.</font></P>
<P align="left">
<B><FONT face="Arial" size="2">INTERNATIONAL FINANCIAL REPORTING STANDARDS (IFRS)</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">The AcSB has set January&nbsp;1,&nbsp;2011 as the date that IFRS will replace Canadian GAAP for publicly accountable enterprises, which includes Canadian reporting issuers. We will prepare our financial statements in accordance with IFRS
commencing January&nbsp;1,&nbsp;2011. Financial reporting under IFRS differs from Canadian GAAP in a number of respects, some of which are significant. IFRS on the date of adoption also is expected to differ from current IFRS due to new IFRS that are expected
to be issued before the changeover date.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The following information is provided to allow investors and others to obtain a better understanding of our IFRS changeover plan and the resulting possible effects on our financial statements and
operating performance measures. Readers are cautioned, however, that it may not be appropriate to use such information for any other purpose. This information also reflects our most recent assumptions and expectations; circumstances may arise, such
as changes in IFRS, regulations or economic conditions, which could change these assumptions or expectations.</FONT></P>
<P align="left">
<B><FONT face="Arial">Progress Towards Completion of Our IFRS Changeover Plan</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Summarized below is a description of our progress towards completion of selected key activities of our IFRS changeover plan as of March&nbsp;31,&nbsp;2010. Refer to page 72 of BCE&nbsp;Inc.&#146;s&nbsp;2009 Annual Report for a description of our
changeover plan. At this time, we cannot quantify the impact that the future adoption of IFRS will have on our financial statements and operating performance measures, however, such impact may be material. We also expect the changeover to IFRS to
impact internal control over financial reporting (ICFR), disclosure controls and procedures
(DC&amp;P), and IT systems and processes. Additional information will be provided as we approach the changeover date.</FONT></P>

<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; </font><b>
<font face="Arial" size="1">21</font></b></p>
<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>
<p align="left">&nbsp;</p>





<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse">
	<tr>
		<td width="19%" valign="top">&nbsp;</td>
		<td width="2%" valign="top">&nbsp;</td>
		<td width="25%" valign="top">






<P align="left">
<B><FONT face="Arial" size="2">SELECTED KEY ACTIVITIES</FONT></B></P></td>
		<td width="2%" valign="top">&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<B><FONT face="Arial" size="2">MILESTONES/DEADLINES</FONT></B></P></td>
		<td width="2%" valign="top">&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<B><FONT face="Arial" size="2">PROGRESS TO DATE</FONT></B></P></td>
	</tr>
	<tr>
		<td width="100%" valign="top" colspan="7">

<HR noshade size=1 color="#000000">




		</td>
	</tr>
	<tr>
		<td width="19%" valign="top">
<P align="left">
<B><FONT face="Arial" size="2">Financial statement preparation</FONT></B></P></td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Identify relevant differences between IFRS and our accounting policies and practices and design and implement solutions</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Evaluate and select one-time and ongoing accounting policy alternatives</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Benchmark findings with peer companies</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Prepare financial statements and related note disclosures to comply with IFRS</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Quantify the effects of changeover to IFRS</FONT></P>
		</td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Assessment and quantification of the significant effects of the changeover completed by approximately the third quarter of&nbsp;2010</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Final selection of accounting policy alternatives by the changeover date</FONT></P></td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Completed the identification of IFRS differences</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Completed the design of solutions, including business processes, to resolve substantially all IFRS differences</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Implementation decisions on virtually all accounting differences have been made</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Assessment and quantification of the impact of one-time transition choices is nearing completion</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Evaluation and preliminary selection of accounting policies is substantially complete but will continue to be assessed</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Assessment of ongoing impacts of accounting policies and one-time transition choices is underway</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Third-party subject matter experts have validated our design work and continue to provide assistance in the transition</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Our auditors are providing input as significant milestones are met</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Appropriate documentation for audit purposes is being prepared</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Monitoring of changes to IFRS and assessment of impacts to our changeover plan is ongoing</FONT></P>
		</td>
	</tr>
	<tr>
		<td width="100%" valign="top" colspan="7">

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		</td>
	</tr>
	<tr>
		<td width="19%" valign="top">
<B><FONT face="Arial" size="2">Training and communication</FONT></B></td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Provide training to affected employees of operating
units, management and the Board of Directors and relevant committees thereof,
including the Audit Committee</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Engage subject matter experts to assist in the
transition</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Communicate progress of changeover plan to internal
and external stakeholders</FONT></P>
		</td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Timely training provided to align with work under changeover &#150; training completed by mid-2010</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Communicate effects of changeover in time for&nbsp;2011 financial planning process, by the third quarter of&nbsp;2010</FONT></P></td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Completed detailed training for resources directly engaged in the changeover and general training to broader group of finance employees, including senior finance management and the Board of Directors</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Periodic internal and external communications about our progress are ongoing</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Change management plans have been developed to address training needs for the remainder of the changeover period to the end of&nbsp;2010</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Begun to assess ongoing training needs beyond&nbsp;2010</FONT></P>
		</td>
	</tr>
	<tr>
		<td width="100%" valign="top" colspan="7">

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		</td>
	</tr>
	<tr>
		<td width="19%" valign="top">
<P align="left">
<B><FONT face="Arial" size="2">IT systems</FONT></B></P></td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Identify and address IFRS differences that require changes to financial systems</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Evaluate and select methods to address need for dual record-keeping during&nbsp;2010 (i.e. IFRS and Canadian GAAP) for comparatives and budget and planning purposes in&nbsp;2011</FONT></P>
		</td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Changes to significant systems and dual record-keeping process completed in time for the first quarter of&nbsp;2010</FONT></P></td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Financial accounting systems have been modified and we have commenced dual record-keeping at a transaction level</FONT></P>
		</td>
	</tr>
	<tr>
		<td width="100%" valign="top" colspan="7">

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		</td>
	</tr>
	<tr>
		<td width="19%" valign="top">
<P align="left">
<B><FONT face="Arial" size="2">Contractual arrangements and compensation</FONT></B></P></td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Identify impact of changeover on contractual arrangements, including customer and supplier agreements, financial covenants and employee compensation plans</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Make any required changes to arrangements and plans</FONT></P>
		</td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Changes completed by the third quarter of&nbsp;2010</FONT></P>
		</td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">IFRS differences with potential impacts on contractual arrangements and compensation plans are minimal</FONT></P>
<P align="left">
<FONT face="Arial" size="2">The impact of IFRS differences on debt and other financial covenants has been assessed and is not significant</FONT></P>
		</td>
	</tr>
	<tr>
		<td width="100%" valign="top" colspan="7">

<HR noshade size=1 color="#000000">




		</td>
	</tr>
</table>
<P align="left">
&nbsp;</P>




<p style="margin-top: 0; margin-bottom: 0"><font size="1" face="Arial"><b> 22 </b>&nbsp;BCE&nbsp;
	INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

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<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p align="right">&nbsp;</p>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse">
	<tr>
		<td width="19%" valign="top">
&nbsp;</td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">






<P align="left">
<B><FONT face="Arial" size="2">SELECTED KEY ACTIVITIES</FONT></B></P></td>
		<td width="2%" valign="top">&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<B><FONT face="Arial" size="2">MILESTONES/DEADLINES</FONT></B></P></td>
		<td width="2%" valign="top">&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<B><FONT face="Arial" size="2">PROGRESS TO DATE</FONT></B></P></td>
	</tr>
	<tr>
		<td width="100%" valign="top" colspan="7">

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		</td>
	</tr>
	<tr>
		<td width="19%" valign="top">
<P align="left">
<B><FONT face="Arial" size="2">Internal controls (ICFR)</FONT></B></P></td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Revise existing internal control processes and procedures to address significant changes to existing accounting policies and practices, including the need for dual record-keeping during&nbsp;2010</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Design and implement internal controls with respect to one-time changeover adjustments and related communications</FONT></P>
		</td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Changes completed by first quarter of&nbsp;2010</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Conduct management evaluation of new or revised controls throughout&nbsp;2010</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Update Chief Executive Officer/Chief Financial Officer certification process by the fourth quarter of&nbsp;2010</FONT></P></td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Monitored design of solutions to address IFRS differences to design or revise and implement the necessary internal controls</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Testing of automated controls has commenced</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Design and implementation of new controls for dual record keeping is underway</FONT></P>
		</td>
	</tr>
	<tr>
		<td width="100%" valign="top" colspan="7">

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		</td>
	</tr>
	<tr>
		<td width="19%" valign="top">
<P align="left">
<B><FONT face="Arial" size="2">Internal controls (DC&amp;P)</FONT></B></P>
<p>&nbsp;</td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<FONT face="Arial" size="2">For changes to accounting policies and practices identified, assess the DC&amp;P design and effectiveness implications</FONT></td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">See ICFR deadlines above</FONT></P>
<p>&nbsp;</td>
		<td width="2%" valign="top">
		&nbsp;</td>
		<td width="25%" valign="top">
<P align="left">
<FONT face="Arial" size="2">MD&amp;A disclosures began in December&nbsp;2008</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Project steering committee, including Investor Relations, meets regularly to track progress</FONT></P>
		</td>
	</tr>
	<tr>
		<td width="100%" valign="top" colspan="7">

<HR noshade size=1 color="#000000">




		</td>
	</tr>
</table>
<P align="left">
<B><FONT face="Arial" size="4">Controls and Procedures</FONT></B></P>
<P align="left">
<B><FONT face="Arial" size="2">DISCLOSURE CONTROLS AND PROCEDURES AND INTERNAL CONTROL OVER FINANCIAL REPORTING</FONT></B></P>
<P align="left">
<font size="2" face="Arial">In accordance with the provisions of National Instrument 52-109 &#150;
</font><font size="2"><I><FONT face="Arial">Certification of Disclosure in Issuers&#146; Annual and Interim Filings</FONT></I></font><font size="2" face="Arial">, the Chief Executive Officer and the
Chief Financial Officer of BCE&nbsp;Inc. have limited the scope of their design of BCE&#146;s disclosure controls and procedures and internal control over financial reporting to exclude controls, policies and procedures of The Source, which we acquired
on July&nbsp;1,&nbsp;2009. The Source&#146;s contribution to our consolidated financial statements for the quarter ended March&nbsp;31,&nbsp;2010 was less than 3% of consolidated revenues and had no material impact on consolidated earnings. Additionally, at March&nbsp;31,
2010, The Source&#146;s current assets and current liabilities were approximately 5% and 2% of consolidated current assets and current liabilities, respectively, and its long-term assets and long-term liabilities were both less than 1% of
consolidated long-term assets and long-term liabilities. The design and evaluation of the operating effectiveness of The Source&#146;s
disclosure controls and procedures and internal control over financial reporting will be completed in
the second half of 2010.</font></P>
<P align="left">
<B><FONT face="Arial" size="2">CHANGES IN INTERNAL CONTROL OVER FINANCIAL REPORTING</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">No changes were made in our internal control over financial reporting during the quarter ended March&nbsp;31,&nbsp;2010 that have materially affected, or are reasonably likely to materially affect, our internal control over financial
reporting.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="4">Non-GAAP Financial Measures</FONT></B></P>
<P align="left">
<I><FONT face="Arial" size="2">This section describes the non-GAAP financial measures we use in the MD&amp;A to explain our financial results. It also provides reconciliations of the non-GAAP financial measures to the most comparable Canadian GAAP financial
measures.</FONT></I></P>
<P align="left">
<B><FONT face="Arial" size="2">EBITDA</FONT></B></P>
<P align="left">
<I><FONT face="Arial" size="2">The term EBITDA (earnings before interest, taxes, depreciation and amortization of intangible assets) does not have any standardized meaning according to Canadian GAAP. It is therefore unlikely to be comparable to similar
measures presented by other companies.</FONT></I><font size="2" face="Arial"><br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font><I><font size="2" face="Arial">We define EBITDA as operating revenues less cost of revenue and selling, general and administrative expenses, meaning it represents operating income before depreciation, amortization of intangible
assets and restructuring and other.</font></I><font face="Arial" size="2"><br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We use EBITDA, among other measures, to assess the operating performance of our ongoing businesses without the effects of depreciation, amortization of intangible assets and restructuring and other.
We exclude these items because they affect the comparability of our financial results and could potentially distort the analysis of trends in business performance. We exclude depreciation and amortization of intangible assets because it largely
depends on the accounting methods and assumptions a company uses, as well as non-operating factors such as the historical cost of capital assets. Excluding restructuring and other does not imply they are non-recurring.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;EBITDA allows us to compare our operating performance on a consistent basis. We believe that certain investors and analysts use EBITDA to measure a company&#146;s ability to service debt and to meet
other payment obligations, or as a common measurement to value companies in the telecommunications industry.</font></P>

<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; </font><b>
<font face="Arial" size="1">23</font></b></p>
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<p style="margin-top: 0; margin-bottom:0" align="left"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>





<P align="left">
<font face="Arial" size="2">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The most comparable Canadian GAAP financial measure is operating income. The following tables are reconciliations of operating income to EBITDA on a consolidated basis for BCE, Bell&nbsp;and for our Bell&nbsp;Wireline and Bell&nbsp;Wireless segments.</font></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">BCE&nbsp;</FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">962</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">834 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Depreciation and amortization of intangible assets </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">793</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">818 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">29</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">108 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">EBITDA</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,784</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,760 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
&nbsp;</TD>
	<TD align=right width="10%">
&nbsp;</TD>
	<TD width=2%>
&nbsp;</TD>
	<TD align=right width="10%">
&nbsp;</TD>
	<TD align=right width="2%">
&nbsp;</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">BELL </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">787</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">649 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Depreciation and amortization of intangible assets </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">651</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">678 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">17</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">99 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">EBITDA</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,455</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,426 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
&nbsp;</TD>
	<TD align=right width="10%">
&nbsp;</TD>
	<TD width=2%>
&nbsp;</TD>
	<TD align=right width="10%">
&nbsp;</TD>
	<TD align=right width="2%">
&nbsp;</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">BELL WIRELINE </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">516</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">349 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Depreciation and amortization of intangible assets </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">513</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">545 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">14</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">98 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">EBITDA</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,043</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">992 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
&nbsp;</TD>
	<TD align=right width="10%">
&nbsp;</TD>
	<TD width=2%>
&nbsp;</TD>
	<TD align=right width="10%">
&nbsp;</TD>
	<TD align=right width="2%">
&nbsp;</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">BELL WIRELESS </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">271</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">300 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Depreciation and amortization of intangible assets </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">138</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">133 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">3</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">EBITDA</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">412</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">434 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<B><FONT face="Arial" size="2">OPERATING INCOME BEFORE RESTRUCTURING AND OTHER</FONT></B></P>
<P align="left">
<I><FONT face="Arial" size="2">The term operating income before restructuring and other does not have any standardized meaning according to Canadian GAAP. It is therefore unlikely to be comparable to similar measures presented by other
companies.</FONT></I><font face="Arial" size="2"><br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We use operating income before restructuring and other, among other measures, to assess the operating performance of our ongoing businesses without the effects of restructuring and other. We exclude
these items because they affect the comparability of our financial results and could potentially distort the analysis of trends in business performance. Excluding restructuring and other does not imply they are non-recurring.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The most comparable Canadian GAAP financial measure is operating income. The following tables are reconciliations of operating income to operating income before restructuring and other on a
consolidated basis for BCE&nbsp;and Bell&nbsp;and for our Bell&nbsp;Wireline and Bell&nbsp;Wireless segments.</font></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">BCE&nbsp;</FONT>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">962</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">834 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">29</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">108 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income before restructuring and other</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">991</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">942 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">&nbsp;</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">&nbsp;</TD>
	<TD width=2%>
<p style="margin-left: 10px">&nbsp;</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">&nbsp;</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px">&nbsp;</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">BELL </FONT>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">787</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">649 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">17</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">99 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income before restructuring and other</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">804</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">748 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">&nbsp;</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">&nbsp;</TD>
	<TD width=2%>
<p style="margin-left: 10px">&nbsp;</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">&nbsp;</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px">&nbsp;</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">BELL WIRELINE </FONT>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">516</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">349 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">14</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">98 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income before restructuring and other</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">530</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">447 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">&nbsp;</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">&nbsp;</TD>
	<TD width=2%>
<p style="margin-left: 10px">&nbsp;</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">&nbsp;</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px">&nbsp;</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">BELL WIRELESS </FONT>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">271</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">300 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">3</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income before restructuring and other</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<B><FONT size=2 face="Arial">274</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<p style="margin-left: 10px"><font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<p style="margin-left: 10px">
<FONT size=2 face="Arial">301 </FONT>
	</TD>
	<TD align=right width="2%">
<p style="margin-left: 10px"><font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<p>&nbsp;</p>




<p style="margin-top: 0; margin-bottom: 0"><font size="1" face="Arial"><b> 24 </b>&nbsp;BCE&nbsp;
	INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom: 0" align="right"><font face="Arial">Management&#146;s Discussion
and Analysis</font></p>






<p style="margin-top: 0; margin-bottom: 0" align="right">&nbsp;</p>





<P align="left">
<B><FONT face="Arial" size="2">ADJUSTED NET EARNINGS</FONT></B></P>
<P align="left">
<I><FONT face="Arial" size="2">The terms Adjusted net earnings and Adjusted EPS do not have any standardized meaning according to Canadian GAAP. They are therefore unlikely to be comparable to similar measures presented by other companies.</FONT></I><font size="2" face="Arial"><br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font><I><font size="2" face="Arial">We define Adjusted net earnings as net earnings before restructuring and other and net (gains) losses on investments. We define Adjusted EPS as Adjusted net earnings per BCE&nbsp;Inc. common
share.</font></I><font face="Arial" size="2"><br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We use Adjusted net earnings and Adjusted EPS, among other measures, to assess the operating performance of our ongoing businesses without the effects of after-tax restructuring and other, and net
(gains) losses on investments. We exclude these items because they affect the comparability of our financial results and could potentially distort the analysis of trends in business performance. Excluding these items does not imply they are
non-recurring.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The most comparable Canadian GAAP financial measures are net earnings applicable to common shares and earnings per share. The following table is a reconciliation of net earnings applicable to common
shares and earnings per share to Adjusted net earnings on a consolidated basis and per BCE&nbsp;Inc. common share (Adjusted EPS), respectively.</font></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px"><font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="22%" colspan="3">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD align=center width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="22%" colspan="3">
<font face="Arial" size="1">Q1&nbsp;2009 </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px"><font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">TOTAL</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">PER SHARE</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">TOTAL </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">PER SHARE </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Net earnings applicable to common shares</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">608</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">0.79</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">377 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.48 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">17</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">0.02</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">70 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.09 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net (gains) losses on investments </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(125</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(0.16</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(1 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(0.00 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Adjusted net earnings</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">500</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">0.65</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">446 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.57 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<B><FONT face="Arial" size="2">FREE CASH FLOW</FONT></B></P>
<P align="left">
<I><FONT face="Arial" size="2">The term free cash flow does not have any standardized meaning according to Canadian GAAP. It is therefore unlikely to be comparable to similar measures presented by other companies.</FONT></I><font size="2" face="Arial"><br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font><I><font size="2" face="Arial">We define free cash flow as cash flows from operating activities and distributions received from Bell&nbsp;Aliant less capital expenditures, preferred share dividends, dividends/distributions paid by
subsidiaries to non-controlling interest, other investing activities and Bell&nbsp;Aliant free cash flow.</font></I><font face="Arial" size="2"><br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We consider free cash flow to be an important indicator of the financial strength and performance of our business because it shows how much cash is available to repay debt and reinvest in our company.
We present free cash flow consistently from period to period, which allows us to compare our financial performance on a consistent basis.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We believe that certain investors and analysts use free cash flow to value a business and its underlying assets.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The most comparable Canadian GAAP financial measure is cash from operating activities. The following table is a reconciliation of cash flows from operating activities to free cash flow on a
consolidated basis.</font></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px"><font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">Q1&nbsp;2010</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">Q1&nbsp;2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Cash flows from operating activities</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,098</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">925 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant distributions to BCE&nbsp;</FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">73</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">73 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Capital expenditures </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(526</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(590 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other investing activities </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(21</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(13 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Dividends paid on preferred shares </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(28</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(28 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Distributions paid by subsidiaries to non-controlling interest </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(92</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(92 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant free cash flow </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">41</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(3 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="74%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Free cash flow</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">545</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">272 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="74%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>&nbsp;<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; <b>25</b></font></p>
<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left">&nbsp;</p>





<P align="left">
<FONT face="Arial" size="5">Consolidated Statements of Operations</FONT></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">FOR THE THREE MONTHS ENDED MARCH 31 </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=left width="10%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<I><FONT size=1 face="Arial">(in &#36;&nbsp;millions, except share amounts) (unaudited)</FONT></I><font face="Arial" size="1">
</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">NOTE </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating revenues</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">4,432</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">4,331 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cost of revenue, exclusive of depreciation and amortization </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(1,174</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(1,086 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Selling, general and administrative expenses </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(1,474</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(1,485 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Depreciation </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(610</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(625 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Amortization of intangible assets </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(183</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(193 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3 </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(29</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(108 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Total operating expenses </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(3,470</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(3,497 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">962</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">834 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other income </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">4 </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">120</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Interest expense </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(165</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(191 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Pre-tax earnings from continuing operations</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">917</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">644 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Income taxes </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(204</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(148 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Non-controlling interest </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(76</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(84 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Earnings from continuing operations</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">637</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">412 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Discontinued operations </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Net earnings</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">637</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">406 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Dividends on preferred shares </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(29</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(29 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Net earnings applicable to common shares</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">608</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">377 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Net earnings per common share</FONT></B><font face="Arial" size="2">
</font>
<B><FONT size=2 face="Arial">&#150; basic</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Continuing operations </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">0.79</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.49 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Discontinued operations </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(0.01 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Net earnings </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">0.79</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.48 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Net earnings per common share</FONT></B><font face="Arial" size="2">
</font>
<B><FONT size=2 face="Arial">&#150; diluted</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Continuing operations </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">0.79</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.49 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Discontinued operations </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(0.01 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Net earnings </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">0.79</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.48 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Dividends per common share</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">0.435</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.385 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Average number of common shares outstanding &#150; basic (millions) </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">765.7</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">788.3 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<p>&nbsp;</p>




<p style="margin-top: 0; margin-bottom: 0"><font size="1" face="Arial"><b> 26 </b>&nbsp;BCE&nbsp;
	INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">





<P align="left">
<FONT face="Arial" size="5">Consolidated Statements of Comprehensive Income</FONT></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">FOR THE THREE MONTHS ENDED MARCH 31 </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<I><FONT size=1 face="Arial">(in &#36;&nbsp;millions) (unaudited)</FONT></I><font face="Arial" size="1">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net earnings </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">637</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">406 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other comprehensive (loss) income &#150; net of income taxes and non-controlling interest </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Net change in unrealized (losses) gains on available-for-sale financial assets </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 36px">
<FONT size=2 face="Arial">Unrealized gains </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">59 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 36px">
<FONT size=2 face="Arial">Reclassification adjustments included in earnings </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(125</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp; </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Net change in unrealized (losses) gains on derivatives designated as cash flow hedges </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(5</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Net change in unrealized gains on currency translation adjustment (CTA) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Other comprehensive (loss) income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(130</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">63 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Comprehensive income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">507</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">469 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<FONT face="Arial" size="5">Consolidated Statements of Deficit</FONT></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">FOR THE THREE MONTHS ENDED MARCH 31 </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=left width=10%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<I><FONT size=1 face="Arial">(in &#36;&nbsp;millions) (unaudited)</FONT></I><font face="Arial" size="1">
</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">NOTE </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Balance at beginning of period </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<b>
<FONT size=2 face="Arial">(1,299 </FONT>
	</b>
	</TD>
	<TD align=left width=2%>
<b>
<FONT size=2 face="Arial">) </FONT>
	</b>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(1,468 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net earnings </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<b>
<FONT size=2 face="Arial">637 </FONT>
	</b>
	</TD>
	<TD align=left width=2%>
<b>
<font face="Arial" size="2">&nbsp;
	</font>
	</b>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">406 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Dividends declared on preferred shares </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<b>
<FONT size=2 face="Arial">(29 </FONT>
	</b>
	</TD>
	<TD align=left width=2%>
<b>
<FONT size=2 face="Arial">) </FONT>
	</b>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(29 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Dividends declared on common shares </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<b>
<FONT size=2 face="Arial">(332 </FONT>
	</b>
	</TD>
	<TD align=left width=2%>
<b>
<FONT size=2 face="Arial">) </FONT>
	</b>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(302 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Excess of purchase price over stated capital of cancelled common shares and related contributed surplus </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">5 </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<b>
<FONT size=2 face="Arial">(50 </FONT>
	</b>
	</TD>
	<TD align=left width=2%>
<b>
<FONT size=2 face="Arial">) </FONT>
	</b>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(152 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Balance at end of period</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<b>
<FONT size=2 face="Arial">(1,073 </FONT>
	</b>
	</TD>
	<TD align=left width=2%>
<b>
<FONT size=2 face="Arial">) </FONT>
	</b>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(1,545 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan="7" width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE><font face="Arial" size="2"><BR>

</font>

<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; <b>27</b></font></p>
<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left">&nbsp;</p>





<P align="left">
<FONT face="Arial" size="5">Consolidated Balance Sheets</FONT></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">MARCH 31,</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">DECEMBER 31, </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<I><FONT size=1 face="Arial">(in &#36;&nbsp;millions) (unaudited)</FONT></I><font face="Arial" size="1">
</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">NOTE </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">ASSETS</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 style="border-style: dotted; border-width: 1px" color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Current assets</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Cash and cash equivalents </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">748</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">687 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Accounts receivable </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,523</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,605 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Future income taxes </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">128</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">110 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Inventory </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">446</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">448 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Prepaid expenses </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">389</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">296 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Other current assets </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">145</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">137 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Current assets of discontinued operations </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total current assets</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">3,380</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3,284 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Capital assets</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Property, plant and equipment </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">19,381</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">19,441 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Finite-life intangible assets </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">2,483</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,541 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Indefinite-life intangible assets </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">3,817</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3,803 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total capital assets</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">25,681</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">25,785 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Other long-term assets</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">3,126</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3,207 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Goodwill</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">5,774</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">5,774 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total assets</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">37,961</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">38,050 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<font size="1">&nbsp;</font></TD>
	<TD align=left width="10%">
<font size="1">&nbsp;</font></TD>
	<TD width=2%>
<font size="1">&nbsp;</font></TD>
	<TD align=left width="10%">
<font size="1">&nbsp;</font></TD>
	<TD align=left width=2%>
<font size="1">&nbsp;</font></TD>
	<TD align=left width="10%">
<font size="1">&nbsp;</font></TD>
	<TD align=left width=2%>
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">LIABILITIES</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 style="border-style: dotted; border-width: 1px" color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Current liabilities</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Accounts payable and accrued liabilities </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">3,568</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3,716 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Interest payable </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">133</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">113 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Dividends payable </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">375</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">354 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Debt due within one year </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">747</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">600 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Current liabilities of discontinued operations </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">3</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total current liabilities</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">4,826</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">4,786 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Long-term debt</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">10,301</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">10,299 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Other long-term liabilities</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">4,808</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">4,942 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total liabilities</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">19,935</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">20,027 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Non-controlling interest</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,031</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,049 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<font size="1">&nbsp;</font></TD>
	<TD align=left width="10%">
<font size="1">&nbsp;</font></TD>
	<TD width=2%>
<font size="1">&nbsp;</font></TD>
	<TD align=left width="10%">
<font size="1">&nbsp;</font></TD>
	<TD align=left width=2%>
<font size="1">&nbsp;</font></TD>
	<TD align=left width="10%">
<font size="1">&nbsp;</font></TD>
	<TD align=left width=2%>
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face="Arial">SHAREHOLDERS&#146; EQUITY </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 style="border-style: dotted; border-width: 1px" color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Preferred shares</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">2,770</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,770 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Common shareholders&#146; equity</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Common shares </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">5 </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">12,851</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">12,921 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Contributed surplus </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">5 </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">2,485</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,490 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Accumulated other comprehensive (loss) income </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(38</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">92 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Deficit </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(1,073</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(1,299 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total common shareholders&#146; equity</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">14,225</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">14,204 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total shareholders&#146; equity</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">16,995</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">16,974 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total liabilities and shareholders&#146; equity</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">37,961</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">38,050 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan="7" width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<p>&nbsp;</p>




<p style="margin-top: 0; margin-bottom: 0"><font size="1" face="Arial"><b> 28 </b>&nbsp;BCE&nbsp;
	INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">






<p style="margin-top: 0; margin-bottom: 0" align="right">&nbsp;</p>





<P align="left">
<FONT face="Arial" size="5">Consolidated Statements of Cash Flows</FONT></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">FOR THE THREE MONTHS ENDED MARCH 31 </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=left width=10%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<I><FONT size=1 face="Arial">(in &#36;&nbsp;millions) (unaudited)</FONT></I><font face="Arial" size="1">
</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">NOTE </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Cash flows from operating activities</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width=10%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net earnings </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">637</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">406 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Less: Losses from discontinued operations, net of income taxes and non-controlling interest </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Earnings from continuing operations </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">637</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">412 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Adjustments to reconcile earnings from continuing operations to cash flows from operating activities </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width=10%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Depreciation and amortization of intangible assets </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">793</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">818 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Net benefit plans cost </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">7 </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">28</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">88 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Restructuring and other </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3 </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">29</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">108 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Gains on investments </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(125</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(2 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Future income taxes </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">24</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(13 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Non-controlling interest </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">76</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">84 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Contributions to employee pension plans </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">7 </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(155</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(92 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Other employee future benefit plan payments </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">7 </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(24</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(24 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Payments of restructuring and other </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(94</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(77 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Operating assets and liabilities </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(91</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(377 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Cash flows from operating activities</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">1,098</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">925 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Cash flows used in investing activities</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width=10%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Capital expenditures </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(526</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(590 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Business acquisitions </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">9</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(20 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Going-private costs </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(6 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Decrease in investments </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">10</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other investing activities </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(21</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(13 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Cash flows used in investing activities</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(528</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(629 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Cash flows used in financing activities</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width=10%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Increase in notes payable and bank advances </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">112</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">88 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Repayment of long-term debt </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(56</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(94 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Issue of common shares </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">1</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Repurchase of common shares </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">5 </FONT>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(125</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(557 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash dividends paid on common shares </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(310</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(294 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash dividends paid on preferred shares </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(28</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(28 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash distributions paid by subsidiaries to non-controlling interest </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(92</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(92 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other financing activities </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(11</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(10 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Cash flows used in financing activities</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">(509</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(986 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash flows from (used in) continuing operations </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">61</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(690 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash flows used in discontinued operations activities </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(8 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net increase (decrease) in cash and cash equivalents </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">61</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(698 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash and cash equivalents at beginning of period </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">688</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3,063 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Cash and cash equivalents at end of period</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">749</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,365 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Consists of: </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=left width=10%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Cash and cash equivalents of continuing operations </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">748</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,356 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Cash and cash equivalents of discontinued operations </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">1</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">9 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=10%>
<B><FONT size=2 face="Arial">749</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,365 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD width="86%" colspan="7">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE><font face="Arial" size="2"><BR>

</font>

<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; <b>29</b></font></p>
<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left">&nbsp;</p>





<P align="left">
<FONT face="Arial" size="5">Notes to Consolidated Financial Statements</FONT></P>
<P align="left">
<I><FONT face="Arial" size="2">The interim consolidated financial statements have been prepared in accordance with Canadian generally accepted accounting principles (GAAP) applicable to interim consolidated financial statements and should be read in
conjunction with BCE&nbsp;Inc.&#146;s annual consolidated financial statements for the year ended December&nbsp;31,&nbsp;2009, on pages 82 to 122 of BCE&nbsp;Inc.&#146;s&nbsp;2009 annual report.</FONT></I></P>
<P align="left">
<I><FONT face="Arial" size="2">These notes are unaudited.</FONT></I></P>
<P align="left">
<font size="2" face="Arial">We, us, our </font><font size="2"><I><FONT face="Arial">and </FONT></I><FONT face="Arial">BCE&nbsp;</FONT><I><FONT face="Arial">mean BCE&nbsp;Inc., its subsidiaries and joint ventures; </FONT></I><FONT face="Arial">Bell&nbsp;</FONT><I><FONT face="Arial">means
our Bell&nbsp;Wireline and Bell&nbsp;Wireless segments on an aggregate basis; and </FONT></I><FONT face="Arial">Bell&nbsp;Aliant </FONT>
</font><I><font size="2" face="Arial">means Bell&nbsp;Aliant Regional Communications Income Fund and its subsidiaries.</font></I></P>
<P align="left">
<I><FONT face="Arial" size="2">All amounts are in&nbsp;millions of Canadian dollars, except where noted.</FONT></I></P>
<P align="left">
<B><FONT face="Arial" size="4">Note 1: Significant Accounting Policies</FONT></B></P>
<P align="left">
<B><FONT face="Arial" size="2">BASIS OF PRESENTATION</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">We have prepared the consolidated financial statements according to Canadian GAAP using the same basis of presentation and accounting policies as outlined in Note 1 of the annual consolidated financial statements for the year
ended December&nbsp;31,&nbsp;2009.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="2">FUTURE CHANGES TO ACCOUNTING POLICIES AND STANDARDS</FONT></B></P>
<P align="left">
<B><FONT face="Arial">Multiple Deliverable Revenue Arrangements</FONT></B></P>
<P align="left">
<font size="2" face="Arial">In December&nbsp;2009, the Emerging Issues Committee of the AcSB issued EIC-175,
</font><font size="2"><I><FONT face="Arial">Multiple Deliverable Revenue Arrangements</FONT></I><FONT face="Arial">, which addresses certain aspects of accounting by a
vendor for arrangements under which it will perform multiple revenue-generating activities, amending the previous guidance under EIC-142, </FONT><I><FONT face="Arial">Revenue Arrangements with Multiple Deliverables</FONT></I></font><font size="2" face="Arial">. The
amendments require a vendor to allocate arrangement consideration at the inception of an arrangement to all deliverables using the relative selling price method, thus prohibiting the use of the residual method. EIC-175 also changes the level of
evidence of the standalone selling price required to separate deliverables when more objective evidence of the selling price is not available.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;EIC-175 may be applied prospectively and must be applied to revenue arrangements with multiple deliverables entered into or materially modified in the first annual fiscal period beginning on or after
January&nbsp;1,&nbsp;2011. Early adoption is permitted.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;We are currently evaluating the impact and effective date of adoption of EIC-175.</font></P>




<p style="margin-top: 0; margin-bottom: 0"><b><font face="Arial" size="1">30</font></b><font size="1" face="Arial"><b> </b>&nbsp;BCE&nbsp;
	INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">






<p style="margin-top: 0; margin-bottom: 0" align="right">
<FONT face="Arial">Notes to Consolidated Financial Statements</FONT></p>





<P align="left">
<B><FONT face="Arial" size="4">Note 2: Segmented Information</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">The following table is a summary of financial information by segment for the last two years.</FONT></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">FOR THE THREE MONTHS ENDED MARCH 31 </FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating revenues</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 style="border-style: dotted; border-width: 1px" color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Wireline </FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">External customers </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">2,577</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,515 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Inter-segment </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">81</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">77 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">2,658</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2,592 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Wireless </FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">External customers </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,142</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,068 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Inter-segment </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">11</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">10 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">1,153</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1,078 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Inter-segment eliminations &#150; Bell&nbsp;</FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(53</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(48 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;</FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">3,758</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3,622 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant </FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">External customers </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">713</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">748 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Inter-segment </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">66</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">70 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">779</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">818 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Inter-segment eliminations &#150; BCE&nbsp;</FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(105</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(109 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total operating revenues</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">4,432</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">4,331 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<font size="1">&nbsp;</font></TD>
	<TD align=left width="38%">
<font size="1">&nbsp;</font></TD>
	<TD align=left width="10%">
<font size="1">&nbsp;</font></TD>
	<TD align=left width=2%>
<font size="1">&nbsp;</font></TD>
	<TD align=left width="10%">
<font size="1">&nbsp;</font></TD>
	<TD align=left width=2%>
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Operating income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 style="border-style: dotted; border-width: 1px" color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Wireline </FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">516</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">349 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Wireless </FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">271</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">300 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;</FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">787</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">649 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant </FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">175</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">185 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total operating income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">962</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">834 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other income </FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">120</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Interest expense </FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(165</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(191 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Income taxes </FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(204</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(148 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Non-controlling interest </FONT>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(76</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(84 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=6 width="38%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Earnings from continuing operations</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width="38%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">637</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">412 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan="6" width="38%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<B><FONT face="Arial" size="4">Note 3: Restructuring and Other</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">FOR THE THREE MONTHS ENDED MARCH 31 </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Employee costs </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Bell&nbsp;</FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(11</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(57 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(11</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(8 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Real estate </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Bell&nbsp;</FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(2</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(33 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Total restructuring costs </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(24</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(98 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other charges </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(5</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(10 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total restructuring and other</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(29</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(108 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<FONT face="Arial" size="2">The liability for restructuring costs at March&nbsp;31,&nbsp;2010 is as follows:</FONT></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">BELL </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">BELL ALIANT </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">CONSOLIDATED </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Balance at December&nbsp;31,&nbsp;2009 </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">216 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">41 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">257 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Employee costs </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">11 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">11 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">22 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Real estate </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Less: Cash payments </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(67 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(23 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(90 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="64%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Balance at March&nbsp;31,&nbsp;2010</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">162</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">29</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">191</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=7 width="64%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE><font face="Arial" size="2"><BR>

</font>

<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; <b>31</b></font></p>
<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left">
<FONT face="Arial">Notes to Consolidated Financial Statements</FONT></p>





<P align="left">
<B><FONT face="Arial" size="2">RESTRUCTURING COSTS</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Restructuring costs at Bell&nbsp;consist of:</FONT></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">employee termination charges related to involuntary workforce reduction initiatives</FONT></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">real estate costs for relocating employees and closing real estate facilities that are no longer needed because of workforce reduction initiatives, charges for relocation and lease vacancy and buyout costs related to the
relocation to campus environments in Calgary, Toronto and Montr&eacute;al.</FONT></P>
	</li>
</ul>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">FOR THE THREE MONTHS ENDED MARCH 31 </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Workforce reduction </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">2</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">5 </FONT>
	</TD>
	<TD align=right width="2%">
&nbsp;</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Campus environments </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">28 </FONT>
	</TD>
	<TD align=right width="2%">
&nbsp;</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Real estate costs</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">2</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">33 </FONT>
	</TD>
	<TD align=right width="2%">
&nbsp;</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<FONT face="Arial" size="2">Our cumulative real estate expense since 2004 as a result of workforce reduction initiatives is &#36;244&nbsp;million and since&nbsp;2007 for costs for the campus environments is &#36;121&nbsp;million. We expect to incur additional real estate
costs of approximately &#36;12&nbsp;million to relocate employees and close additional real estate facilities as a result of our workforce initiatives, which will be expensed as incurred in our Bell&nbsp;Wireline segment.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Restructuring costs at Bell&nbsp;Aliant consist mainly of employee termination charges related to both voluntary and involuntary workforce reduction initiatives.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="4">Note 4: Other Income</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">FOR THE THREE MONTHS ENDED MARCH 31 </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Gains on investments </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">125</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">2 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Securitization losses </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(5</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(8 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">7 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Other income</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">120</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<FONT face="Arial" size="2">Gains on investments of &#36;125&nbsp;million in the first quarter of&nbsp;2010 resulted from the sale of certain of our publicly-traded investments for proceeds of approximately &#36;118&nbsp;million, mainly from our investment in SkyTerra
Communications&nbsp;Inc. As a result, we reclassified unrealized gains of &#36;125&nbsp;million out of other comprehensive income and into other income. We used the average cost method in determining the gain.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="4">Note 5: Share Capital</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="22%" colspan="3">
<B><FONT size=1 face="Arial">2010 NCIB</FONT></B><font face="Arial" size="1">&nbsp; </font>
	</TD>
	<TD align=center width=2%>
<font size="1">&nbsp;</font></TD>
	<TD align=center width="22%" colspan="3">
<FONT size=1 face="Arial">2008/2009 NCIB</FONT></TD>
	<TD align=left width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="22%" colspan=3>
<B><FONT size=1 face="Arial">AT MARCH 31,&nbsp;2010</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD align=center width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="22%" colspan=3>
<FONT size=1 face="Arial">AT DECEMBER 31,&nbsp;2009 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">NUMBER OF</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">TOTAL</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">NUMBER OF </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">TOTAL </FONT>
	</TD>
	<TD align=right width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">SHARES</FONT></B><font face="Arial" size="1">
</font>
	</TD>
	<TD width=2%>
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">COST</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">SHARES </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">COST </FONT>
	</TD>
	<TD align=right width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Shares repurchased and cancelled (millions) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">4.2</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD width=2%>
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">125.0</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">40.0 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">986.0 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<B><FONT face="Arial" size="2">2010 NORMAL COURSE ISSUER BID (NCIB) PROGRAM</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">On December&nbsp;17,&nbsp;2009, BCE&nbsp;Inc. announced its plan to repurchase up to &#36;500&nbsp;million of its outstanding common shares through a NCIB to be executed over the course of&nbsp;2010. On the same date, the Toronto Stock Exchange approved
the&nbsp;2010 NCIB program.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In the first quarter of&nbsp;2010, BCE&nbsp;Inc. repurchased and cancelled a total of 4.2&nbsp;million common shares for a total cost of &#36;125&nbsp;million. Of the total cost, &#36;70&nbsp;million represents stated capital
and &#36;5&nbsp;million represents the reduction of the contributed surplus attributable to these common shares. The remaining &#36;50&nbsp;million was charged to the deficit.</FONT></P>




<p style="margin-top: 0; margin-bottom: 0"><font size="1" face="Arial"><b> 32 </b>&nbsp;BCE&nbsp;
	INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom: 0" align="right">
<FONT face="Arial">Notes to Consolidated Financial Statements</FONT></p>






<p style="margin-top: 0; margin-bottom: 0" align="right">&nbsp;</p>





<P align="left">
<B><FONT face="Arial" size="2">2008/2009 NCIB PROGRAM</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">On December&nbsp;12,&nbsp;2008, BCE&nbsp;Inc. announced its plan to repurchase up to 5% of its outstanding common shares through a NCIB. On December&nbsp;19,&nbsp;2008, the Toronto Stock Exchange approved the&nbsp;2008/2009 NCIB program. In December&nbsp;2008, BCE&nbsp;
Inc. repurchased a total of 7.5&nbsp;million common shares.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;In&nbsp;2009, BCE&nbsp;Inc. repurchased a total of 32.5&nbsp;million common shares and cancelled 36&nbsp;million common shares for a total cost of &#36;894&nbsp;million. Of the total cost, &#36;606&nbsp;million represents stated
capital and &#36;44&nbsp;million reduced the contributed surplus attributable to these common shares. The remaining &#36;244&nbsp;million was charged to the deficit.<br>
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;The total cost of the program was &#36;986&nbsp;million and the program was completed in May&nbsp;2009.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="4">Note 6: Stock-Based Compensation Plans</FONT></B></P>
<P align="left">
<B><FONT face="Arial" size="2">STOCK OPTIONS</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=center width="36%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="6%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="6%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width=6%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="6%" colspan=3>
<FONT size=1 face="Arial">WEIGHTED AVERAGE </FONT>
	</TD>
	<TD width="2%" align="center">
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=center width=6% colspan="5">
<font face="Arial" size="1">WEIGHTED AVERAGE</font></TD>
	<TD align=center width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=center width="36%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="6%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="6%">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width=6%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="6%" colspan=3>
<FONT size=1 face="Arial">GRANT DATE FAIR VALUE </FONT>
	</TD>
	<TD width="2%" align="center">
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=center width=6% colspan="5">
<font face="Arial" size="1">EXERCISE PRICE</font></TD>
	<TD align=center width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=center width="36%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="6%" colspan="5">
<font face="Arial" size="1">NUMBER OF OPTIONS
	</font>
	</TD>
	<TD align=center width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width=6% colspan="3">
<font face="Arial" size="1">(&#36;)
	</font>
	</TD>
	<TD width="2%" align="center">
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=center width=6% colspan="5">
<font face="Arial" size="1">(&#36;)</font></TD>
	<TD align=center width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=17 width="36%" align="center">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=center width="36%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="6%">
<FONT size=1 face="Arial">NON-VESTED </FONT>
	</TD>
	<TD align=right width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="6%">
<FONT size=1 face="Arial">VESTED </FONT>
	</TD>
	<TD align=right width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width=6%>
<FONT size=1 face="Arial">TOTAL </FONT>
	</TD>
	<TD align=right width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width=6%>
<FONT size=1 face="Arial">NON-VESTED </FONT>
	</TD>
	<TD width="2%" align="right">
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=1 face="Arial">VESTED </FONT>
	</TD>
	<TD width="2%" align="right">
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=1 face="Arial">NON-VESTED </FONT>
	</TD>
	<TD width="2%" align="right">
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=1 face="Arial">VESTED </FONT>
	</TD>
	<TD width="2%" align="right">
<font face="Arial" size="1">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=1 face="Arial">TOTAL </FONT>
	</TD>
	<TD align=right width="2%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=17 width="36%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="36%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Outstanding, January&nbsp;1,&nbsp;2010 </FONT>
	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">2,500,000 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">8,798,239 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">11,298,239 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">$4 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">$5 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">$28 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">$34 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">$32 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="36%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Exercised </FONT>
	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">(19,840 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">(19,840 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">$6 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">$28 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">$28 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="36%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Vested </FONT>
	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">(845,000 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">845,000 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">$4 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">$4 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">$31 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">$31 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="36%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Forfeited </FONT>
	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">(20,000 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">(81,395 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">(101,395 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">$4 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">$6 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">$31 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">$35 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">$34 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="36%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Expired </FONT>
	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">(890,608 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">(890,608 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">$41 </FONT>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<FONT size=2 face="Arial">$41 </FONT>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=17 width="36%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="36%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Outstanding, March&nbsp;31,&nbsp;2010</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="6%">
<B><FONT size=2 face="Arial">1,635,000</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="6%">
<B><FONT size=2 face="Arial">8,651,396</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width=6%>
<B><FONT size=2 face="Arial">10,286,396</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width=6%>
<b>
<FONT size=2 face="Arial">$4</FONT></b><font face="Arial" size="2"> </font>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<b>
<FONT size=2 face="Arial">$5</FONT></b><font face="Arial" size="2"> </font>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width=6%>
<b>
<FONT size=2 face="Arial">$27</FONT></b><font face="Arial" size="2"> </font>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<b>
<FONT size=2 face="Arial">$33</FONT></b><font face="Arial" size="2"> </font>
	</TD>
	<TD width="2%">
<font face="Arial" size="2">&nbsp;	</font>	</TD>
	<TD align=right width="6%">
<b>
<FONT size=2 face="Arial">$32</FONT></b><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="2%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=17 width="36%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<B><FONT face="Arial" size="2">RESTRICTED SHARE UNITS (RSUs)</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="78%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="20%">
<FONT size=1 face="Arial">NUMBER OF RSUs </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=3 width="78%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="78%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Outstanding, January&nbsp;1,&nbsp;2010 </FONT>
	</TD>
	<TD align=right width="20%">
<FONT size=2 face="Arial">7,215,338 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="78%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Granted </FONT>
	</TD>
	<TD align=right width="20%">
<FONT size=2 face="Arial">52,615 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="78%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Dividends credited </FONT>
	</TD>
	<TD align=right width="20%">
<FONT size=2 face="Arial">105,305 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="78%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Forfeited </FONT>
	</TD>
	<TD align=right width="20%">
<FONT size=2 face="Arial">(27,226 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=3 width="78%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="78%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Outstanding, March&nbsp;31,&nbsp;2010</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="20%">
<b>
<FONT size=2 face="Arial">7,346,032 </FONT>
	</b>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=3 width="78%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<FONT face="Arial" size="2">For the three months ended March&nbsp;31,&nbsp;2010 and March&nbsp;31,&nbsp;2009, we recorded compensation expense for RSUs of &#36;20&nbsp;million and &#36;23&nbsp;million, respectively.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="4">Note 7: Employee Benefit Plans</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">We provide pension and other post-employment benefits for most of our employees. These include defined benefit (DB) pension plans and defined contribution (DC) pension plans.</FONT></P>
<P align="left">
<B><FONT face="Arial" size="2">NET BENEFIT PLANS COST</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">FOR THE THREE MONTHS ENDED MARCH 31 </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Pension benefits </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">DB plans cost</FONT><SUP><FONT size=2 face="Arial">(1)</FONT></SUP><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">4</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(58 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">DC plans cost </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(15</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(12 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other post-employment benefits cost </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(17</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(18 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Net benefit plans cost</FONT></B><SUP><FONT size=2 face="Arial">(2)</FONT></SUP><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(28</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(88 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=5 width="76%" height="17">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse">
	<tr>
		<td width="2%" valign="top"><I><FONT size=1 face="Arial">(1)</FONT></I></td>
		<td width="98%" valign="top"><I><FONT size=1 face="Arial">2010 includes
		a reversal of a pension valuation allowance of $51&nbsp;million.</FONT></I><font face="Arial" size="1">
</font></td>
	</tr>
	<tr>
		<td width="2%" valign="top">
<I><FONT size=1 face="Arial">(2)</FONT></I></td>
		<td width="98%" valign="top"><I><FONT size=1 face="Arial">Net benefit
		plans cost is included as part of selling, general and administrative
		expenses in the statement of operations.</FONT></I><font face="Arial" size="1">
</font></td>
	</tr>
</table>
<p>&nbsp;</p>

<p style="margin-top: 0; margin-bottom: 0" align="right">
<font size="1" face="Arial">BCE&nbsp;INC.&nbsp;
<b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT&nbsp; </font><b>
<font face="Arial" size="1">33</font></b></p>
<HR noshade size=1 color="#000000">




<p style="margin-top: 0; margin-bottom:0" align="left">
<FONT face="Arial">Notes to Consolidated Financial Statements</FONT></p>





<P align="left">
<B><FONT face="Arial" size="2">DB PLANS COST</FONT></B></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="10%" colspan=3>
<FONT size=1 face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; PENSION BENEFITS </FONT>
	</TD>
	<TD align=center width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="10%" colspan=3>
<FONT size=1 face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; OTHER BENEFITS </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">FOR THE THREE MONTHS ENDED MARCH 31 </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Current service cost </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(47</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(44 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(2</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(2 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Interest cost on accrued benefit obligation </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(224</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(223 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(24</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(25 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Expected return on plan assets </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">241</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">220 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">3</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">3 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Amortization of past service costs (credits) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(1</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(1 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">7</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">7 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Amortization of net actuarial losses </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(12</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(21 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(1</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(1 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Amortization of transitional asset (liability) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">1 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Decrease in valuation allowance</FONT><SUP><FONT size=2 face="Arial">(1)</FONT></SUP><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">47</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">10 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">DB plans cost</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">4</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(58 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(17</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(18 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse">
	<tr>
		<td width="2%" valign="top"><I><FONT size=1 face="Arial">(1)</FONT></I></td>
		<td width="98%" valign="top">
<P align="left">
<I><FONT face="Arial" size="1">2010 includes a reversal of a pension valuation allowance of &#36;51&nbsp;million.</FONT></I></P>
		</td>
	</tr>
</table>
<P align="left">
<FONT face="Arial" size="2">The following table shows the amounts we contributed to the DB and DC pension plans and the payments made to beneficiaries under other post-employment future benefit plans.</FONT></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="10%" colspan=3>
<FONT size=1 face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; PENSION BENEFITS </FONT>
	</TD>
	<TD align=center width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=center width="10%" colspan=3>
<FONT size=1 face="Arial">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; OTHER BENEFITS </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=1 face="Arial">FOR THE THREE MONTHS ENDED MARCH 31 </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=1 face="Arial">2010</FONT></B><font face="Arial" size="1"> </font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=1 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="1">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Canada </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(122</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(63 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(22</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(22 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(33</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(29 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(2</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(2 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<B><FONT size=2 face="Arial">Total</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(155</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(92 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(24</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(24 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Comprised of: </FONT>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="10%">
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Contributions to DB plans </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(142</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(80 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(24</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(24 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="52%">
<p style="text-indent: -12px; margin-left: 24px">
<FONT size=2 face="Arial">Contributions to DC plans </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">(13</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=left width=2%>
<B><FONT size=2 face="Arial">)</FONT></B><font face="Arial" size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">(12 </FONT>
	</TD>
	<TD align=left width=2%>
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="10%">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font face="Arial" size="2">
</font>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=2%>
<font face="Arial" size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR>
	<TD colspan=9 width="52%">
<HR noshade size=1 color="#000000">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>
<P align="left">
<B><FONT face="Arial" size="4">Note 8: Commitments and Contingencies</FONT></B></P>
<P align="left">
<B><FONT face="Arial" size="2">LITIGATION</FONT></B></P>
<P align="left">
<b>
<FONT face="Arial">Teleglobe Estate Lawsuits</FONT></b></P>
<P align="left">
<FONT face="Arial" size="2">As discussed in Note 24 of BCE&nbsp;Inc.&#146;s audited consolidated financial statements for the year ended December&nbsp;31,&nbsp;2009, BCE&nbsp;Inc. and certain former directors and/or officers of Teleglobe&nbsp;Inc. and certain of its subsidiaries
were defendants in three lawsuits described under the headings <i>Kroll Restructuring Lawsuit</i>,
<i>Teleglobe&nbsp;Inc. Unsecured Creditors Lawsuit</i> and <i>Teleglobe&nbsp;Inc. Plan Administrator Lawsuit</i>. On April&nbsp;7,&nbsp;2010, the parties
agreed to settle these lawsuits, subject to approval by the U.S. Bankruptcy Court for the District of Delaware. In advance of the settlement of these lawsuits, BCE&nbsp;Inc. and its insurers settled related coverage issues and, as a result, the
settlement of these lawsuits had no effect on the results of operations of BCE.</FONT></P>
<P align="left">
<b>
<FONT face="Arial">Class Action Concerning Bell&nbsp;Canada and Bell&nbsp;Mobility&nbsp;Inc. (Bell&nbsp;Mobility) Late Payment Charges</FONT></b></P>
<P align="left">
<FONT face="Arial" size="2">As discussed in Note 24 of BCE&nbsp;Inc.&#146;s audited consolidated financial statements for the year ended December&nbsp;31,&nbsp;2009, Bell&nbsp;Canada and Bell&nbsp;Mobility were defendants in a class action instituted on April&nbsp;11,&nbsp;2008 seeking the
repayment of certain late payment charges and the payment of punitive damages. On March&nbsp;29,&nbsp;2010, the parties agreed to settle this lawsuit, subject to approval by the Qu&eacute;bec Superior Court. The settlement had no material effect on the
consolidated financial position or results of operations of BCE.</FONT></P>




<p style="margin-top: 0; margin-bottom: 0"><font size="1" face="Arial"><b> 34 </b>&nbsp;BCE&nbsp;
	INC.&nbsp; <b>Q1&nbsp;2010</b>&nbsp; QUARTERLY REPORT</font></p>

<HR noshade size=1 color="#000000">






<p style="margin-top: 0; margin-bottom: 0" align="right">&nbsp;</p>





<P align="left">
&nbsp;</P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table1">
	<tr>
		<td width="50%" valign="top">
		<P align="left">
<img border="0" src="bce_logo.jpg" width="149" height="74"></P>
<P align="left">
<B><font size="2" face="Arial">Investor Relations</font></B><font face="Arial" size="2"><BR>
Building A, 6th floor<BR>
1 Carrefour Alexander-Graham-Bell<BR>
Verdun, Qu&eacute;bec<BR>
H3E 3B3<BR>
www.bce.ca</font></P>
<P align="left">
<font size="2">
<B><FONT face="Arial">Communications</FONT></B><font face="Arial"><BR>
e-mail: bcecomms@bce.ca<BR>
tel: 1-888-932-6666<BR>
fax: 514-870-4385</font></font></P>
<P align="left">
<font face="Arial" size="2">This document has been filed by BCE&nbsp;Inc.<BR>
with Canadian securities commissions and the<BR>
U.S. Securities and Exchange Commission.<BR>
It can be found on BCE&nbsp;Inc.&#146;s website at www.bce.ca,<BR>
on SEDAR at www.sedar.com and on EDGAR at<BR>
www.sec.gov or is available upon request from:</font></P>
<P align="left">
<font size="2">
<B><FONT face="Arial">Investor Relations</FONT></B></font><font size="2" face="Arial"><BR>
e-mail: investor.relations@bce.ca<BR>
tel: 1-800-339-6353<BR>
fax: 514-786-3970<BR>
For additional copies of these statements,<BR>
please call 1-888-932-6666.</font></P>
<P align="left">
<font size="2" face="Arial">For further information concerning the Dividend<BR>
Reinvestment and Stock Purchase Plan (DRP),<BR>
direct deposit of dividend payments, the elimination<BR>
of multiple mailings or the receipt of quarterly<BR>
reports, please contact:</font></P>
<P align="left">
<font size="2" face="Arial">Computershare Trust Company of&nbsp;Canada<BR>
100 University Avenue,<BR>
9th Floor,<BR>
Toronto, Ontario<BR>
M5J 2Y1<BR>
tel: 514-982-7555<BR>
or 1-800-561-0934<BR>
fax: 416-263-9394<BR>
or 1-888-453-0330<BR>
e-mail: bce@computershare.com</font></P>
<P align="left">
<font size="2" face="Arial">Pour obtenir un exemplaire de la version fran&ccedil;aise<BR>
de ce document, composez le 1-888-932-6666.</font></P>
		<P align="left">
&nbsp;</P>
		<P align="left">
&nbsp;</P>
		<P align="left">
<font face="Arial" size="1">PRINTED
IN CANADA / 10-05 BCE-1E</font></P>






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<DOCUMENT>
<TYPE>EX-99.2
<SEQUENCE>3
<FILENAME>usgaap_q110.htm
<DESCRIPTION>RECONCILIATION OF CANADIAN GAAP TO UNITED STATES GAAP
<TEXT>

<HTML>
<HEAD>
   <TITLE>Reconciliation of Canadian GAAP to United States GAAP</TITLE>
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<p align="right"><font size="2" face="Arial">EXHIBIT 99.2</font></p>
<P align="left">
<B><FONT face="Arial">Reconciliation of Canadian GAAP to United States GAAP </FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">We, our and BCE means BCE Inc., its subsidiaries and joint ventures.</FONT></P>
<P align="left">
<font size="2" face="Arial">Our unaudited interim consolidated financial statements are prepared in accordance with Canadian generally accepted accounting principles (&#147;GAAP&#148;). This reconciliation of Canadian GAAP to United States GAAP should be
read in conjunction with our unaudited interim consolidated financial statements for the three months ended March 31, 2010. We believe that this reconciliation reflects all adjustments (consisting of normal recurring adjustments) necessary to
present fairly the results for the interim periods shown. Material differences between Canadian GAAP and United States GAAP are quantified and described below:</font><font size="2" face="Times New Roman">
</font></P>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">1</font></P>

<HR noshade size=1 color="#000000">



<P align=left><B><font face="Arial">Consolidated Statements of Operations</font><font face="Times New Roman">
</font></B></P>
<TABLE border=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>For the three months ended March 31</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2 face=Arial>(in $ millions, except share amounts) (unaudited)</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2009</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Earnings from continuing operations
		&#150; Canadian GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>637</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>412</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Differences</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Selling, general and administrative expenses</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Employee benefit plans </FONT><SUP><FONT size=2 face=Arial>(b)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(120)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(47)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Depreciation and amortization</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Deferred costs and finite-life intangible assets </FONT><SUP><FONT size=2 face=Arial>(a)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>1</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>1</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Capitalized interest </FONT><SUP><FONT size=2 face=Arial>(g)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(19)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(18)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Restructuring and other </FONT><SUP><FONT size=2 face=Arial>(a) (f)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(2)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>7</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Other (expense) income</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Sale of businesses </FONT><SUP><FONT size=2 face=Arial>(f)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(2)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Interest expense </FONT><SUP><FONT size=2 face=Arial>(g)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>18</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>23</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Income taxes</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Cumulative tax effect of the above items</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>2</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>12</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Unrecognized tax benefits </FONT><SUP><FONT size=2 face=Arial>(h)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(9)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Non-controlling interest </FONT><SUP><FONT size=2 face=Arial>(d)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>76</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>84</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Earnings from continuing operations
		&#150; U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>593</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>463</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Discontinued operations
		&#150; Canadian GAAP</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(6)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Difference
		<sup>(d) (f)</sup></FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(2)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Discontinued operations
		&#150; U.S. GAAP</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(8)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Net earnings
		&#150; U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>593</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>455</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Net earnings attributable to the non-controlling interest </FONT><SUP><FONT size=2 face=Arial>(d)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(75)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(82)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Net earnings attributable to BCE</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>518</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>373</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Dividends on preferred shares
		&#150; Canadian and U.S. GAAP</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(29)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(29)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Net earnings atrributable to BCE common shareholders &#150; U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>489</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>344</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Net earnings per common share</FONT></B><font size="2">
		<b>&#150;</b>
		</font> <B><FONT size=2 face=Arial>basic, U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Continuing operations</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>0.64</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>0.45</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Discontinued operations</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(0.01)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Net earnings</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>0.64</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>0.44</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Net earnings per common share</FONT></B><font size="2">
		<b>&#150;</b>
		</font> <B><FONT size=2 face=Arial>diluted, U.S. GAAP</FONT></B></TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Continuing operations</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>0.64</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>0.45</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Discontinued operations</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(0.01)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Net earnings</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>0.64</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>0.44</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Average number of common shares outstanding
		&#150; basic (millions)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>765.7</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>788.3</FONT><font size="2">
		</font> </TD>
     </TR></TABLE><font size="2"><BR>
</font>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">2</font></P>

<HR noshade size=1 color="#000000">



<P align=left><B><font face="Arial">Consolidated Statements of Comprehensive Income</font></B><font face="Arial">
</font></P>
<TABLE border=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>For the three months ended March 31</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2 face=Arial>(in $ millions) (unaudited)</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2009</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Other comprehensive (loss) income, net of income taxes and non-controlling interest</FONT></B><font size="2">
		<b>&#150;</b>
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Canadian GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(130)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>63</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Difference</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Net change in gains and losses on derivatives designated as cash flow hedges
		<sup>(d) (e)</sup></FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>1</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>1</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Employee benefit plans
		<sup>(b) (c) (d)</sup></FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>58</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>45</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Other comprehensive (loss) income, net of income taxes &#150; U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(71)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>109</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Net earnings
		&#150; U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>593</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>455</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Comprehensive income
		&#150; U .S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>522</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>564</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Comprehensive income attributable to non-controlling interest </FONT><SUP><FONT size=2 face=Arial>(d)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(47)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(85)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Comprehensive income attributable to BCE
		&#150; U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>475</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>479</FONT><font size="2">
		</font> </TD>
     </TR></TABLE>
&nbsp;<p><B><FONT face=Arial>Consolidated Statement of Accumulated Other Comprehensive Loss </FONT></B>
</p>
<TABLE border=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><B><FONT size=2 face=Arial>March 31,</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><B><FONT size=2 face=Arial>December 31,</FONT></B><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2 face=Arial>(in $ millions) (unaudited)</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2009</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Currency translation adjustment</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(2)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(2)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Available-for-sale financial assets and derivatives designated as cash flow hedges
		<sup>(d) (e)</sup></FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(49)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>80</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Employee benefit plans
		<sup>(b) (c) (d)</sup></FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Net actuarial losses</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(2,131)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(2,186)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Net past service costs</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>47</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>43</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Net transitional obligations</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(3)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(2)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Accumulated other comprehensive loss &#150; U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(2,138)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(2,067)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Accumulated other comprehensive income attributable to non-controlling interest </FONT><SUP><FONT size=2 face=Arial>(d)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>510</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>482</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Accumulated other comprehensive loss attributable to BCE &#150; U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(1,628)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(1,585)</FONT><font size="2">
		</font> </TD>
     </TR></TABLE><font size="2"><BR>
</font>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">3</font></P>

<HR noshade size=1 color="#000000">



<P align=left><B><FONT face=Arial>Consolidated Balance Sheets </FONT></B></P>
<TABLE border=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="30%" align=center style="border-right:1px solid #000000; border-left-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px" colspan="3">
		<B><FONT size=2 face=Arial>March 31,</FONT></B></TD>
     <TD width="30%" align=center style="border-right:1px solid #000000; border-left-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px" colspan="3">
		<FONT size=2 face=Arial>December 31,</FONT></TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2009</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=center><B><FONT size=2 face=Arial>Canadian</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=center><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>U.S.</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=center><FONT size=2 face=Arial>Canadian</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=center><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>U.S.</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2 face=Arial>(in $ millions) (unaudited)</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>Differences</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>GAAP</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>Differences</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>GAAP</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>ASSETS</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Current assets</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Cash and cash equivalents</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>748</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>748</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>687</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>687</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Accounts receivable</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>1,523</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>1,523</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>1,605</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>1,605</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Future income taxes </FONT><SUP><FONT size=2 face=Arial>(f)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>128</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>(12)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>116</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>110</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(7)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>103</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Inventory</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>446</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>446</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>448</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>448</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Prepaid expenses</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>389</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>389</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>296</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>296</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Other current assets</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>145</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>145</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>137</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>137</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Current assets of discontinued operations</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>1</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>1</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>1</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>1</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Total current assets</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>3,380</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(12)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>3,368</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>3,284</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(7)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>3,277</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Capital assets</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Property, plant and equipment
		<sup>(f) (g)</sup></FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>19,381</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>624</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>20,005</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>19,441</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>624</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>20,065</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Finite-life intangible assets
		<sup>(a) (f) (g)</sup></FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>2,483</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>110</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>2,593</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>2,541</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>110</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>2,651</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Indefinite-life intangible assets </FONT><SUP><FONT size=2 face=Arial>(f)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>3,817</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>4</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>3,821</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>3,803</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>4</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>3,807</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Total capital assets</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>25,681</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>738</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>26,419</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>25,785</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>738</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>26,523</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Other long-term assets </FONT></B>
		<sup><FONT size=2 face=Arial>(f) (l)</FONT></sup><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>3,126</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>(2,346)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>780</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>3,207</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(2,276)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>931</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Goodwill </FONT></B><SUP><FONT size=2 face=Arial>(f)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>5,774</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>94</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>5,868</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>5,774</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>94</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>5,868</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Total assets</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>37,961</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(1,526)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>36,435</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>38,050</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(1,451)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>36,599</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>LIABILITIES</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Current liabilites</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Accounts payable and accrued liabilites </FONT><SUP><FONT size=2 face=Arial>(f)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>3,568</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>(27)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>3,541</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>3,716</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(29)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>3,687</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Interest payable</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>133</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>133</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>113</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>113</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Dividends payable</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>375</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>375</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>354</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>354</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Debt due within one year </FONT><SUP><FONT size=2 face=Arial>(j)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>747</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>11</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>758</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>600</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>11</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>611</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Current liabilities of discontinued operations</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>3</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>3</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>3</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>3</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Total current liabilities</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>4,826</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(16)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>4,810</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>4,786</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(18)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>4,768</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Long-term debt </FONT></B>
		<sup><FONT size=2 face=Arial>(e) (j)</FONT></sup><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>10,301</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>23</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>10,324</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>10,299</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>25</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>10,324</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Other long-term liabilities </FONT></B>
		<sup><FONT size=2 face=Arial>(f) (l)</FONT></sup><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>4,808</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>102</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>4,910</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>4,942</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>115</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>5,057</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Total liabilities</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>19,935</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>109</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>20,044</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>20,027</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>122</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>20,149</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Non-controlling interest in subsidiaries </FONT><SUP><FONT size=2 face=Arial>(d)</FONT></SUP></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>1,031</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(1,031)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>1,049</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(1,049)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>EQUITY
		<sup>(d) (f) (k)</sup></FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>BCE shareholders&#146; equity</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Preferred shares</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>2,770</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>2,770</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>2,770</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>2,770</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Common shares </FONT><SUP><FONT size=2 face=Arial>(i)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>12,851</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>(65)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>12,786</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>12,921</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(65)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>12,856</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Contributed surplus </FONT><SUP><FONT size=2 face=Arial>(f)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>2,485</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>(1,538)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>947</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>2,490</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(1,538)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>952</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Accumulated other comprehensive (loss) income</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>(38)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>(1,590)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(1,628)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>92</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(1,677)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(1,585)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>(Deficit) retained earnings</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(1,073)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>2,063</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>990</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(1,299)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2,182</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>883</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Total BCE shareholders&#146; equity</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>16,995</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><B><FONT size=2 face=Arial>(1,130)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>15,865</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>16,974</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(1,098)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>15,876</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Non-controlling interest in subsidiaries </FONT><SUP><FONT size=2 face=Arial>(d)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>526</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>526</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>574</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>574</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Total equity</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>16,995</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(604)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>16,391</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>16,974</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(524)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>16,450</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="40%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Total liabilities and equity</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>37,961</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(1,526)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>36,435</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>38,050</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(1,451)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>36,599</FONT><font size="2">
		</font> </TD>
     </TR></TABLE>
<font size="2"><BR>
</font>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">4</font></P>

<HR noshade size=1 color="#000000">



<P align=left><B><font face="Arial">Consolidated Statements of Cash Flows</font></B><font face="Times New Roman">
</font></P>
<TABLE border=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>For the three months ended March 31</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2 face=Arial>(in $ millions) (unaudited)</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2009</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Cash flows from operating activities  &#150;  Canadian GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>1,098</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>925</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Differences</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Capitalized interest </FONT><SUP><FONT size=2 face=Arial>(g)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>18</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>23</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Cash flows from operating activities  &#150;  U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>1,116</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>948</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Cash flows used in investing activities  &#150;  Canadian GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(528)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(629)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Differences</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Capitalized interest </FONT><SUP><FONT size=2 face=Arial>(g)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(18)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(23)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Cash flows used in investing activities  &#150;  U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(546)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(652)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Cash flows used in financing activities  &#150;  Canadian and U.S. GAAP</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(509)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(986)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Cash flows from (used in) continuing operations  &#150;  U.S. GAAP</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>61</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(690)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Cash flows used in discontinued operations activities  &#150;  U.S. GAAP </FONT><SUP><FONT size=2 face=Arial>(d)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(8)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Net increase (decrease) in cash and cash equivalents</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>61</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(698)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Cash and cash equivalents at beginning of period</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>688</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>3,063</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Cash and cash equivalents at end of period</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>749</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2,365</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Consists of:</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Cash and cash equivalents of continuing operations</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>748</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>2,356</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Cash and cash equivalents of discontinued operations</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>1</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>9</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Total</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>749</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2,365</FONT><font size="2">
		</font> </TD>
     </TR></TABLE>
<font size="2"><BR>
</font>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">5</font></P>

<HR noshade size=1 color="#000000">



<P align="left">
<B><FONT face="Arial">Description of United States GAAP Differences</FONT></B></P>
<P align="left">
<I><FONT face="Arial" size="2">All amounts are in millions of Canadian dollars, except where noted.</FONT></I></P>
<P align="left">
<B><FONT face="Arial">(a) Deferred Costs and Finite-life Intangible Assets</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Under Canadian GAAP, certain expenses, such as development costs and pre-operating expenses, are deferred and amortized if they meet specified criteria. Under United States GAAP, these costs must be expensed as
incurred.</FONT></P>
<P align="left">
<B><FONT face="Arial">(b) Employee Benefit Plans</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Under United States GAAP, we recognize the funded status of benefit plans in the balance sheet by aggregating overfunded plans separately from underfunded plans and recording the resulting amounts as an asset and a liability,
respectively. We also recognize as a component of other comprehensive income, net of tax, the actuarial gains or losses and past service costs or credits that arise during the period. Under Canadian GAAP, these amounts are not recorded on the
balance sheet until the period in which they affect earnings.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Also, under Canadian GAAP, we recognize a pension valuation allowance for any excess of the accrued benefit asset over the related expected future benefit. Changes in the pension valuation allowance are recognized in the
consolidated statement of operations. United States GAAP does not permit pension valuation allowances. Differences also arise from the use of the corridor method to amortize actuarial gains and losses for Canadian GAAP purposes.</FONT></P>
<P align="left">
<B><FONT face="Arial">(c) Post-Employment Benefits</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">In 2007, we announced the phase-out of other post-employment benefits for future retirees over the next 10 years. Under Canadian GAAP, this plan amendment reduces the unamortized transitional obligation and increases past service
credits amortized over the expected average remaining service lives (EARSL) of affected employees. Under United States GAAP, this plan amendment was reflected as an increase in other comprehensive income (loss) of &#36;209 million in June,
2007.</FONT></P>
<P align="left">
<B><FONT face="Arial">(d) Consolidation</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Under Canadian GAAP net earnings and other comprehensive income exclude amounts attributable to the non-controlling interest. Under United States GAAP these amounts are included in net earnings and other comprehensive income. Also
under United States GAAP, non-controlling interest in subsidiaries is presented in the balance sheet as a separate component of equity.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Under Canadian GAAP, we account for our interests in joint ventures using the proportionate consolidation method. Under United States GAAP, these interests would be accounted for using the equity method. This difference is not
reflected in our United States GAAP reconciliation for those joint venture interests that qualify for the related accommodation provided by the United States Securities and Exchange Commission. Our joint venture interests accounted for using the
proportionate consolidation method are not material to our financial position or results of operations.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Certain joint venture interests have been accounted for as discontinued operations under Canadian GAAP. Under United States GAAP, we must continue to reflect these investments in continuing operations. Our proportionate interest
in joint venture results of operations and any gain or loss on disposal are reclassified from discontinued operations under Canadian GAAP to continuing operations under United States GAAP.</FONT></P>

<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">6</font></P>

<HR noshade size=1 color="#000000">



<P align="left">
<B><FONT face="Arial">Description of United States GAAP Differences</FONT></B></P>
<P align="left">
<B><FONT face="Arial">(e) Derivative Instruments and Hedging Activities</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Under Canadian GAAP, foreign-currency derivatives embedded in a non-financial instrument host contract are not bifurcated and separately accounted for when specified conditions are met.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Differences may also arise with respect to the measurement of hedge ineffectiveness recorded in earnings. </FONT></P>
<P align="left">
<B><FONT face="Arial">(f) Sale of Businesses, Business Combinations and Goodwill</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Under United States GAAP, we remeasure to fair value our previously held equity interest in an entity when we acquire control and recognize a corresponding gain or loss in income. Also, acquisition-related transaction costs are
expensed as incurred and restructuring costs are accrued and included in the purchase price allocation only if they are an acquired liability. Under Canadian GAAP, there is no remeasurement of our previously held equity interest, and transaction
costs and restructuring provisions directly related to the acquisition are included in the purchase price allocation and restructuring provisions.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Under United States GAAP, we recognize a bargain purchase gain relating to an acquisition for any excess of the fair value of net assets acquired over the purchase price paid. Under Canadian GAAP any excess generally reduces the
carrying amounts attributed to the net assets acquired.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">During the year ended December 31, 2009, under United States GAAP, we recorded income of &#36;103 million (net of transaction costs of &#36;7 million and directly related restructuring costs incurred of &#36;5 million), comprised
mainly of a gain on remeasurement of a previously held equity interest in an entity in which we acquired a controlling interest during the period and a bargain purchase gain on a business combination completed during the period.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Under Canadian GAAP, certain business combinations have been accounted for at the carrying value of the underlying assets and liabilities exchanged, whereas under United States GAAP such transactions were recorded on a fair value
basis. Also, differences between Canadian GAAP and United States GAAP may cause corresponding differences in the carrying values of the net assets of businesses sold, including those classified as discontinued operations. Changes in our ownership
interest in these businesses will cause a corresponding difference in any resulting gains or losses.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">BCE&#146;s ownership interest in Bell Aliant was reduced through a distribution of trust units by way of a return of capital to holders of BCE Inc. common shares on July 10, 2006. This distribution resulted in an increase in
contributed surplus of &#36;1,547 million for Canadian GAAP. For United States GAAP purposes, the distribution of trust units is deemed to have occurred at fair value, with the resulting gain recognized in earnings. Therefore, the increase in
contributed surplus under Canadian GAAP, adjusted for previously existing United States and Canadian GAAP differences, was recorded as a gain on distribution of trust units in earnings from continuing operations for United States GAAP
purposes.</FONT></P>
<P align="left">
<B><FONT face="Arial">(g) Capitalized Interest</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Under Canadian GAAP, we capitalize interest for significant assets under construction. Under United States GAAP, borrowing costs must be capitalized for all assets under construction.</FONT></P>
<P align="left">
<B><FONT face="Arial">(h) Income Taxes</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">Under United States GAAP an income tax position is recognized when it is more likely than not that it will be sustained upon examination based on its technical merits, and is measured as the largest amount that is greater than 50%
likely to be realized upon settlement. Under Canadian GAAP, we recognize and measure income tax positions, including any related accruals for interest and penalties, based on our best estimate of the amount that is more likely than not to be
realized.</FONT></P>

<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">7</font></P>

<HR noshade size=1 color="#000000">



<P align=left><B><FONT face=Arial>Description of United States GAAP Differences</FONT></B></P>
<P align=left><FONT face=Arial size="2">BCE and its subsidiaries are subject to either Canadian federal and provincial income tax, United States federal, state or local income tax. BCE has substantially concluded all Canadian federal and provincial income tax matters for taxation years through 2000. Canadian federal income tax returns for taxation years 2001 through 2009 are currently under examination by the Canada Revenue Agency, which to date has not proposed any significant adjustments. No material matters pertaining to United States federal, state or local income tax matters are currently outstanding.</FONT></P>
<P align=left><FONT face=Arial size="2">A reconciliation of the beginning and ending amount of unrecognized tax benefits is as follows:</FONT></P>
<TABLE border=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="90%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2 face=Arial>(in $ millions) (unaudited)</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="90%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Balance at January 1, 2010</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>711</FONT></B><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="90%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Increase for tax positions of prior years</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>19</FONT></B><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="90%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Decrease for tax positions of prior years</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(20)</FONT></B><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="90%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Settlements</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(9)</FONT></B><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="90%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>Balance at March 31, 2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>701</FONT></B><font size="2">
		</font> </TD>
     </TR></TABLE>
<P align=left><font size="2" face="Arial">The balance of $701 million at March 31, 2010 includes $283 million of tax positions for which the ultimate deductibility is highly certain but for which there is uncertainty as to the timing of such deductibility. The disallowance of a shorter deductibility period would not affect the effective tax rate, except with respect to interest and penalties and the impact of declining income tax rates. The remaining $418 million of unrecognized tax benefits would, if recognized, favourably affect the effective income tax rate in future periods. Subject to the results of audit examinations by taxing authorities and to legislative</font><FONT face="Times New Roman" size="2"> </FONT>
<font size="2" face="Arial">amendments, BCE does not anticipate adjustments to the amount of unrecognized tax benefits during the next twelve months that would have a material impact on its financial statements.</font></P>
<P align=left><FONT face=Arial size="2">BCE records interest and penalties related to income tax positions in income tax expense. For the three month period ended March 31, 2010, BCE recognized approximately $6 million in interest and penalties (2009&nbsp;&#150;&nbsp;$6 million). BCE had accrued $179&nbsp;million for interest and nil for penalties at March 31, 2010 and $173&nbsp;million and nil respectively, at December 31, 2009.</FONT></P>
<P align=left><B><FONT face=Arial>(i) Share Issue Costs</FONT></B></P>
<P align=left><FONT face=Arial size="2">Under United States GAAP, share issue costs are recorded as a reduction of the proceeds raised from the issuance of capital stock, whereas under Canadian GAAP we charge share issue costs to deficit.</FONT></P>
<P align=left><B><FONT face=Arial>(j) Debt Issue Costs</FONT></B></P>
<P align=left><FONT face=Arial size="2">Under United States GAAP, debt issue costs incurred in connection with the issuance of debt securities or other long-term borrowings are recorded as deferred charges and amortized over the term of the debt. Under Canadian GAAP, these costs are classified with the corresponding debt on the balance sheet.</FONT></P>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">8</font></P>

<HR noshade size=1 color="#000000">



<P align=left><B><FONT face=Arial>Description of United States GAAP Differences</FONT></B></P>
<P align=left><B><FONT face=Arial>(k) Changes in Equity</FONT></B></P>
<TABLE border=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><FONT size=2 face=Arial>Accumulated</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>For the three months ended</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>Common</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>other</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>Non-</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>March 31, 2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>Preferred</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>shares, </FONT> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>Contributed</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>comprehensive</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>Retained</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>controlling</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2 face=Arial>(in $ millions) (unaudited)</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>Total</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=center style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p align="right"><FONT size=2 face=Arial>shares</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>net</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>surplus</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>income</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>earnings</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>interest</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Beginning balance</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>16,450</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>2,770</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>12,856</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>952</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(1,585)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>883</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>574</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Net earnings</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>593</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>518</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>75</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Other comprehensive income</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>
		Net change in gains (losses) on available-for sale financial assets and derivatives designated as cash flow hedges</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(129)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(130)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>1</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Net change in currency translation adjustment</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Employee benefit plans</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>58</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>87</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(29)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Other comprehensive (loss)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(71)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Net repurchase of BCE common shares</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(125)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(71)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(5)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(49)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Dividends on BCE common and preferred shares</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(361)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(361)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Cash dividends/distributions paid by subsidiaries to
		non-controlling interest</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(92)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(92)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Other</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(3)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>1</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(1)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(3)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>16,391</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2,770</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>12,786</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>947</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(1,628)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>990</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>526</FONT><font size="2">
		</font> </TD>
     </TR></TABLE>
<font size="2"><BR>
</font>
<TABLE border=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><FONT size=2 face=Arial>Accumulated</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>For the three months ended</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>Common</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>other</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>Non-</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2 face=Arial>March 31, 2009</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>Preferred</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>shares, </FONT> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>Contributed</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>comprehensive</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>Retained</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>controlling</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2 face=Arial>(in $ millions) (unaudited)</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>Total</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>shares</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>net</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>surplus</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>income</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>earnings</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>interest</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Beginning balance</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>17,071</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>2,770</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>13,374</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>991</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(1,498)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>841</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>593</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Net earnings</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>455</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>373</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>82</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Other comprehensive income</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Net change in gains (losses) on available-for sale financial assets and derivatives designated as cash flow hedges</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>61</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>60</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>1</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Net change in currency translation adjustment</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>3</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>3</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>-</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Employee benefit plans</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>45</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>43</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>2</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Other comprehensive income</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>109</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Net repurchase of BCE common shares</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(566)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(387)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(27)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(152)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Dividends on BCE common and preferred shares</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(331)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face=Arial>(331)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Cash dividends/distributions paid by subsidiaries to
		non-controlling interest</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(92)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(92)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Other</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>6</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>1</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>3</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="30%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>16,652</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2,770</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>12,988</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>967</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(1,392)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>731</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>588</FONT><font size="2">
		</font> </TD>
     </TR></TABLE>
<font size="2"><BR>
</font>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">9</font></P>

<HR noshade size=1 color="#000000">



<P align=left><B><FONT face=Arial>Description of United States GAAP Differences</FONT></B></P>
<P align=left><B><FONT face=Arial>(l) Other Long-Term Assets and Other Long-Term Liabilities</FONT></B></P>
<TABLE border=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><B><FONT size=2 face=Arial>March 31,</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><FONT size=2 face=Arial>December 31,</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2 face=Arial>(in $ millions) (unaudited)</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2009</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Other long-term assets</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Deferred costs </FONT><SUP><FONT size=2 face=Arial>(f)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(3)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(3)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Employee benefit plans </FONT><SUP><FONT size=2 face=Arial>(b)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(3,238)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(3,213)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Future income taxes<sup> (f) (h)</sup></FONT><sup><font size="2">
		</font> </sup> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>856</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>899</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Debt issue costs </FONT><SUP><FONT size=2 face=Arial>(j)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>39</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>41</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(2,346)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(2,276)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left>
		<p style="text-indent: -12px; margin-left: 12px">&nbsp;</TD>
     <TD width="10%" align=right>&nbsp;</TD>
     <TD width="10%" align=right>&nbsp;</TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><B><FONT size=2 face=Arial>March 31,</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><FONT size=2 face=Arial>December 31,</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2 face=Arial>(in $ millions) (unaudited)</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>2009</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Other long-term liabilities</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Employee benefit plans </FONT><SUP><FONT size=2 face=Arial>(b)</FONT></SUP><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>133</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>138</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Future income taxes and unrecognized tax benefits
		<sup>(f) (h)</sup></FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>(31)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>(23)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="80%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>102</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>115</FONT><font size="2">
		</font> </TD>
     </TR></TABLE>
<P align=left><B><FONT face=Arial>(m) Guarantees</FONT></B></P>
<P align=left><font size="2" face="Arial">Under Canadian GAAP, guarantees do not include indemnifications against intellectual property right infringement. Under United States GAAP, these indemnifications are included in guarantees. At March 31, 2010, such indemnifications amounted to $15&nbsp;million (December 31, 2009&nbsp;&#150;&nbsp;$45&nbsp;million), of which $5&nbsp;million expires in 2011, $5&nbsp;million in 2013, and $5&nbsp;million with an indefinite term.</font><font size="2"><B><FONT face=Arial> </FONT></B>
</font><font size="2" face="Arial">We also have guarantees where no maximum potential amount is specified.</font></P>
<P align=left><B><FONT face=Arial>(n) Fair Value of Financial Instruments</FONT></B></P>
<P align=left><FONT face=Arial size="2">The following table shows a comparison between the carrying value and fair value of our long-term debt and derivative financial instruments.</FONT></P>
<TABLE border=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="60%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" colSpan=2 align=center style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>March 31, 2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" colSpan=2 align=center style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>December 31, 2009</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="60%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>Carrying</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>Fair</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>Carrying</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>Fair</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="60%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2 face=Arial>(in $ millions) (unaudited)</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>value</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>value</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>value</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>value</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="60%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Long-term debt due within one year</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>593</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>591</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>558</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>565</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="60%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Long-term debt</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>10,324</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>11,161</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>10,324</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>10,926</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="60%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2 face=Arial>Derivative financial instruments, net asset (liability) position</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="60%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Forward contracts&nbsp;&#150;&nbsp;BCE Inc. shares</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>58</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>58</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>35</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>35</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="60%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Currency contracts</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(137)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2 face=Arial>(137)</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(128)</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2 face=Arial>(128)</FONT><font size="2">
		</font> </TD>
     </TR>
<TR vAlign=bottom>
     <TD width="60%" align=left style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2 face=Arial>Interest rate swaps</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>60</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2 face=Arial>60</FONT></B><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>68</FONT><font size="2">
		</font> </TD>
     <TD width="10%" align=right style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2 face=Arial>68</FONT><font size="2">
		</font> </TD>
     </TR></TABLE>
<font size="2"><BR>
</font>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">10</font></P>

<HR noshade size=1 color="#000000">



<P align="left">
<B><FONT face="Arial">Description of United States GAAP Differences</FONT></B></P>
<P align="left">
<B><FONT face="Arial">(o) Future Accounting Changes</FONT></B></P>
<P align="left">
<FONT face="Arial" size="2">In October 2009, the FASB amended Topic 605, Revenue Recognition, to address certain aspects of accounting by a vendor for arrangements under which it will perform multiple revenue-generating activities, amending the previous
guidance under Subtopic 605-25, Revenue Arrangements with Multiple Deliverables. The amendments require a vendor to allocate arrangement consideration at the inception of an arrangement to all deliverables using the relative selling price method,
thus prohibiting the use of the residual method. The amendments to Topic 605 also change the level of evidence of the standalone selling price required to separate deliverables when more objective evidence of the selling price is not
available.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">The amendments to Topic 605 may be applied prospectively and must be applied to revenue arrangements with multiple deliverables entered into or materially modified in the first annual fiscal period beginning on or after June 15,
2010. Early adoption is permitted.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">We are currently evaluating the impact and effective date of adoption of the amendments to Topic 605.</FONT></P>

<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">11</font></P>

<HR noshade size=1 color="#000000">



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</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99.3
<SEQUENCE>4
<FILENAME>suppq110.htm
<DESCRIPTION>SUPPLEMENTARY FINANCIAL INFORMATION - FIRST QUARTER 2010
<TEXT>

<HTML>
<HEAD>
   <TITLE>BCE Inc. Supplementary Financial Information &#150; First Quarter 2010</TITLE>
     <meta equiv="Content-Type" content="text/html; charset=windows-1252">
</HEAD>

<BODY bgcolor="#ffffff">





<p align="right"><font size="2" face="Arial">EXHIBIT 99.3</font></p>
<P align=center><img border="0" src="supp_cover.jpg" width="862" height="670"></P>
<hr color="#000000" size="1">
<P align=right><B><font face="Times New Roman">BCE Inc. </font><SUP>
<font face="Times New Roman">(1)<br>
</font></SUP><font face="Times New Roman">Consolidated Operational Data</font></B></P>
<TABLE border=0 cellPadding=0 width="100%"
style="border-bottom-width: 0px; border-collapse:collapse">
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right
  style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">Q1</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">Q1 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2
  face="Times New Roman">($ millions, except per share amounts) (unaudited)</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">2010</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">2009 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=center>
		<font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<FONT size=2 face="Times New Roman">&nbsp;</FONT></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">$ change </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">% change </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Operating revenues</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">4,432</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">4,331 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center
  style="border-top-style: none; border-top-width: medium"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">101 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2.3 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Cost of revenue, exclusive of depreciation and amortization </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">(1,174</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(1,086 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(88 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(8.1 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Selling, general and administrative expenses </FONT><SUP>
		<FONT size=2 face="Times New Roman">(A)</FONT></SUP><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">(1,446</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(1,397 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(49 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(3.5 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Net benefit plans cost </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">(28</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(88 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=center>
		<font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">60 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">68.2 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">EBITDA </FONT><SUP><FONT size=2 face="Times New Roman">(3)</FONT></SUP></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">1,784</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,760 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center
  style="border-top-style: none; border-top-width: medium"><font size="2"
  face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">24 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1.4 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2
  face="Times New Roman">EBITDA margin </FONT></I><SUP><FONT size=2
  face="Times New Roman">(4)</FONT></SUP></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><I><FONT size=2 face="Times New Roman">40.3</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">40.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">(0.3</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="3%" align=left><I><FONT size=2 face="Times New Roman">) pts</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Depreciation </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">(610</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(625 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">15 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2.4 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Amortization of intangible assets </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">(183</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(193 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">10 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">5.2 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Restructuring and other </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">(29</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(108 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=center>
		<font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">79 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">73.1 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Operating income</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">962</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">834 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center
  style="border-top-style: none; border-top-width: medium"><font size="2"
  face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">128 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">15.3 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Other income </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">120</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">119 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">n.m. </FONT> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Interest expense </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">(165</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(191 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=center>
		<font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">26 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">13.6 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Pre-tax earnings from continuing operations</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">917</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">644 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center
  style="border-top-style: none; border-top-width: medium"><font size="2"
  face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">273 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">42.4 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Income tax expense </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">(204</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(148 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(56 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(37.8 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Non-controlling interest </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">(76</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(84 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=center>
		<font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">8 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">9.5 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Earnings from continuing operations</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">637</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">412 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center
  style="border-top-style: none; border-top-width: medium"><font size="2"
  face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">225 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">54.6 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Discontinued operations </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">-</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(6 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=center>
		<font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">6 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">n.m. </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Net earnings</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">637</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">406 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center
  style="border-top-style: none; border-top-width: medium"><font size="2"
  face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">231 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">56.9 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Dividends on preferred shares </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">(29</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(29 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=center>
		<font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Net earnings applicable to common shares</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">608</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">377 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; ; border-top-style:none; border-top-width:medium"
  width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">231 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">61.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Net earnings per common share &#150; basic</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center
  style="border-top-style: none; border-top-width: medium"><font size="2"
  face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Continuing operations </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">$</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">0.79</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.49 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.30 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">61.2 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Discontinued operations </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">$</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">-</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(0.01 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.01 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">n.m. </FONT> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Net earnings </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">$</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">0.79</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.48 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.31 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">64.6 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Net earnings per common share &#150; diluted</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Continuing operations </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">$</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">0.79</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.49 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.30 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">61.2 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Discontinued operations </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">$</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">-</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(0.01 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.01 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">n.m. </FONT> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Net earnings </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">$</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">0.79</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.48 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.31 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">64.6 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Dividends per common share</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">$</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">0.435</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.385 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">0.050 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">13.0 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Average number of common shares outstanding &#150; basic (millions)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">765.7</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">788.3 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Average number of common shares outstanding &#150; diluted (millions)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">766.0</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">788.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=center>
		<font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="8%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=right
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="8%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=center
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px">
		<font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="8%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="8%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="3%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">The following items are included in net earnings:</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Net gains (losses) on investments </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%">
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2
  face="Times New Roman">Continuing operations </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">125</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">124 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">n.m. </FONT> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%">
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2
  face="Times New Roman">Discontinued operations </FONT> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">-</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Restructuring and other </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">(17</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(70 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=center>
		<font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">53 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">75.7 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total</FONT></B><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="2%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">108</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(69 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%" align=center
  style="border-top-style: none; border-top-width: medium"><font size="2"
  face="Times New Roman">&nbsp;</font></TD>
     <TD width="2%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">177 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">n.m. </FONT> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Impact on net earnings per share</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right><B><FONT size=2 face="Times New Roman">$</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">0.14</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(0.09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=center>
		<font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">0.23 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">n.m. </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<tr>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="51%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Adjusted EPS </FONT><SUP><FONT size=2
  face="Times New Roman">(3)</FONT></SUP></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
 width="2%" align=right><B><FONT size=2 face="Times New Roman">$</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">0.65</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
 width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">0.57 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: medium none #000000; ; border-top-style:none; border-top-width:medium"
 width="2%" align=center><font size="2" face="Times New Roman">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">0.08 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">14.0 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD>
</tr>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="51%" align=left>&nbsp;</TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="2%" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>&nbsp;</TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="8%" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: medium none #000000; ; border-top-style:none; border-top-width:medium"
  width="2%" align=center>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="8%" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="2%" align=left>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="8%" align=right>&nbsp;</TD>
     <TD style="BORDER-BOTTOM: medium none #000000; " width="3%" align=left>&nbsp;</TD></TR></TABLE><table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table1">
	<tr>
		<td width="2%" valign="top"><font size="1" face="Times New Roman">(A) </font></td>
		<td width="98%" valign="top">
<P align=left><FONT face="Times New Roman" size="2">Excludes net benefit plans cost </FONT></P></td>
	</tr>
</table>
<table border="0" width="100%" cellpadding="0"
style="border-collapse: collapse" id="table2">
	<tr>
		<td width="100%" valign="top"><FONT face="Times New Roman" size="2">n.m. : not meaningful</FONT></td>
	</tr>
</table>
<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 2</font></P>
<HR noShade SIZE=1 color="#000000">



<P align=right><B><FONT face="Times New Roman">BCE Inc.<br>
Consolidated Operational Data &#150; Historical Trend</FONT></B></P>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">Total </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2
  face="Times New Roman">($ millions, except per share amounts) (unaudited)</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">Q1 10</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">2009 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">Q4 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">Q3 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">Q2 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">Q1 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Operating revenues</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">4,432</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">17,735 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">4,650 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">4,457 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">4,297 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">4,331 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Cost of revenue, exclusive of depreciation and amortization </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">(1,174</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(4,525 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(1,258 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(1,152 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(1,029 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(1,086 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Selling, general and administrative expenses </FONT><SUP>
		<FONT size=2 face="Times New Roman">(A)</FONT></SUP><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">(1,446</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(5,766 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(1,562 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(1,418 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(1,389 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(1,397 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Net benefit plans cost </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">(28</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(355 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(93 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(86 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(88 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(88 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">EBITDA</FONT></B><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">1,784</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">7,089 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">1,737 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">1,801 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">1,791 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">1,760 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2
  face="Times New Roman">EBITDA margin</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><I><FONT size=2 face="Times New Roman">40.3</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><I><FONT size=2 face="Times New Roman">40.0</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><I><FONT size=2 face="Times New Roman">37.4</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><I><FONT size=2 face="Times New Roman">40.4</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><I><FONT size=2 face="Times New Roman">41.7</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><I><FONT size=2 face="Times New Roman">40.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Depreciation </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">(610</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(2,595 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(704 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(636 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(630 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(625 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Amortization of intangible assets </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">(183</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(776 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(200 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(192 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(191 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(193 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Restructuring and other </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">(29</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(527 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(82 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(191 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(146 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(108 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Operating income</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">962</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">3,191 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">751 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">782 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">824 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">834 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Other income (expense) </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">120</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(18 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">28 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(24 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(23 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">1 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Interest expense </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">(165</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(723 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(182 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(171 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(179 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(191 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Pre-tax earnings from continuing operations</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">917</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">2,450 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">597 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">587 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">622 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">644 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Income tax (expense) recovery </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">(204</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(368 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(141 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">87 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(166 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(148 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Non-controlling interest </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">(76</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(333 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(79 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(90 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(80 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(84 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Earnings from continuing operations</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">637</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">1,749 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">377 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">584 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">376 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">412 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Discontinued operations </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">-</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(11 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(1 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(4 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(6 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Net earnings</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">637</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">1,738 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">376 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">584 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">372 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">406 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Dividends on preferred shares </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">(29</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(107 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(26 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(26 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(26 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(29 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Net earnings applicable to common shares</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">608</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">1,631 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">350 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">558 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">346 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">377 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Net earnings per common share &#150; basic</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Continuing operations </FONT> </TD>
     <TD width="1%" align=right><B><FONT size=2 face="Times New Roman">$</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">0.79</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">2.12 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.46 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.72 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.45 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.49 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Discontinued operations </FONT> </TD>
     <TD width="1%" align=right><B><FONT size=2 face="Times New Roman">$</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">-</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(0.01 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(0.01 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Net earnings </FONT> </TD>
     <TD width="1%" align=right><B><FONT size=2 face="Times New Roman">$</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">0.79</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">2.11 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.46 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.72 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.45 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.48 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Net earnings per common share &#150; diluted</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Continuing operations </FONT> </TD>
     <TD width="1%" align=right><B><FONT size=2 face="Times New Roman">$</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">0.79</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">2.12 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.46 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.72 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.45 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.49 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Discontinued operations </FONT> </TD>
     <TD width="1%" align=right><B><FONT size=2 face="Times New Roman">$</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">-</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(0.01 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(0.01 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Net earnings </FONT> </TD>
     <TD width="1%" align=right><B><FONT size=2 face="Times New Roman">$</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">0.79</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">2.11 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.46 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.72 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.45 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.48 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Dividends per common share</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><B><FONT size=2 face="Times New Roman">$</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">0.435</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">1.580 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.405 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.405 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.385 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">0.385 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Average number of common shares outstanding &#150; basic (millions)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">765.7</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">772.9 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">767.2 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">767.2 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">769.0 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">788.3 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Average number of common shares outstanding &#150; diluted (millions)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">766.0</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">772.9 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">767.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">767.2 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">769.0 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">788.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%"
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="1%" align=right
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="7%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%"
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: medium none #000000">&nbsp;</TD>
     <TD width="1%" align=right
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="7%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%"
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: medium none #000000">&nbsp;</TD>
     <TD width="1%" align=right
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="7%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="1%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="7%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="1%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="7%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="1%" align=right
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="7%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">The following items are included in net earnings:</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" style="border-top-style: none; border-top-width: medium">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" style="border-top-style: none; border-top-width: medium">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Net gains (losses) on investments </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2
  face="Times New Roman">Continuing operations </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">125</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">48 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">11 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">36 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">1 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2
  face="Times New Roman">Discontinued operations </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">-</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(7 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(4 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(3 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Restructuring and other </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">(17</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(339 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(48 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(123 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(98 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(70 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total</FONT></B><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2 face="Times New Roman">108</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(298 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(37 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(91 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(101 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="1%" align=right><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="7%" align=right><FONT size=2 face="Times New Roman">(69 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Impact on net earnings per share</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right><B>
		<FONT size=2 face="Times New Roman">$</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">0.14</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(0.39 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(0.05 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(0.12 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(0.13 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">(0.09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="36%">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Adjusted EPS</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right><B>
		<FONT size=2 face="Times New Roman">$</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2 face="Times New Roman">0.65</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">2.50 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">0.51 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=left>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">0.84 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">0.58 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<FONT size=2 face="Times New Roman">$ </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2 face="Times New Roman">0.57 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR></TABLE>&nbsp;<table
border="0" width="100%" cellpadding="0" style="border-collapse: collapse"
id="table3">
	<tr>
		<td width="2%" valign="top"><font size="1" face="Times New Roman">(A) </font></td>
		<td width="98%" valign="top">
<P align=left><FONT face="Times New Roman" size="2">Excludes net benefit plans cost </FONT></P></td>
	</tr>
</table>
<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 3</font></P>
<HR noShade SIZE=1 color="#000000">



<P align=right><B><FONT face="Times New Roman">BCE Inc.<br>
Segmented Data </FONT><SUP><font face="Times New Roman">(2)</font></SUP></B></P>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">Q1</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">Q1 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2
  face="Times New Roman">($ millions, except where otherwise indicated) (unaudited)</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">2010</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">2009 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">$ change </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">% change </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Revenues</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="3%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireline</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">2,658</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">2,592 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">66 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">2.5 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireless</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">1,153</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">1,078 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">75 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">7.0 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2
  face="Times New Roman">Inter-segment eliminations </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">(53</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(48 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(5 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(10.4 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total Bell</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">3,758</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">3,622 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">136 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">3.8 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Aliant</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">779</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">818 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(39 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(4.8 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2
  face="Times New Roman">Inter-segment eliminations </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">(105</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(109 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">4 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">3.7 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total BCE Inc.</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:3px double #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">4,432</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:3px double #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="10%" align=right>
		<FONT size=2 face="Times New Roman">4,331 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="10%" align=right>
		<FONT size=2 face="Times New Roman">101 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="10%" align=right>
		<FONT size=2 face="Times New Roman">2.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">EBITDA</FONT></B><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="3%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireline</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">1,043</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">992 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">51 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">5.1 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Margin</FONT></I><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">39.2</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">38.3</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">0.9</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="3%" align=left><I><FONT size=2 face="Times New Roman">&nbsp;pts</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireless</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">412</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">434 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(22 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(5.1 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Margin</FONT></I><font size="2" face="Times New Roman">
		</font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><I><FONT size=2 face="Times New Roman">35.7</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right><I>
		<FONT size=2 face="Times New Roman">40.3</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right><I>
		<FONT size=2 face="Times New Roman">(4.6</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left><I>
		<FONT size=2 face="Times New Roman">) pts</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total Bell</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">1,455</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">1,426 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">29 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">2.0 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Margin</FONT></I><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">38.7</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">39.4</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">(0.7</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="3%" align=left><I><FONT size=2 face="Times New Roman">) pts</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Aliant</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">329</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">334 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(5 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(1.5 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Margin</FONT></I><font size="2" face="Times New Roman">
		</font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><I><FONT size=2 face="Times New Roman">42.2</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right><I>
		<FONT size=2 face="Times New Roman">40.8</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right><I>
		<FONT size=2 face="Times New Roman">1.4</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left><I>
		<FONT size=2 face="Times New Roman">&nbsp;pts</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total BCE Inc.</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:3px double #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">1,784</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:3px double #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="10%" align=right>
		<FONT size=2 face="Times New Roman">1,760 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="10%" align=right>
		<FONT size=2 face="Times New Roman">24 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="10%" align=right>
		<FONT size=2 face="Times New Roman">1.4 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Margin</FONT></I><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">40.3</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">40.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">(0.3</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="3%" align=left><I><FONT size=2 face="Times New Roman">) pts</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Operating income</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="3%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireline</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">516</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">349 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">167 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">47.9 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireless</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">271</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">300 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(29 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(9.7 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total Bell</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">787</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">649 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">138 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">21.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Aliant</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">175</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">185 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(10 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(5.4 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total BCE Inc.</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:3px double #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">962</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:3px double #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="10%" align=right>
		<FONT size=2 face="Times New Roman">834 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="10%" align=right>
		<FONT size=2 face="Times New Roman">128 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="10%" align=right>
		<FONT size=2 face="Times New Roman">15.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Capital expenditures</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="3%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireline</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">379</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">352 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(27 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(7.7 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Capital Intensity </FONT><SUP><FONT size=2
  face="Times New Roman">(5)</FONT></SUP></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">14.3</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">13.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">(0.7</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="3%" align=left><I><FONT size=2 face="Times New Roman">) pts</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireless</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">52</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">130 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">78 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">60.0 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Capital Intensity</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><I><FONT size=2 face="Times New Roman">4.5</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right><I>
		<FONT size=2 face="Times New Roman">12.1</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right><I>
		<FONT size=2 face="Times New Roman">7.6</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left><I>
		<FONT size=2 face="Times New Roman">&nbsp;pts</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total Bell</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><FONT size=2 face="Times New Roman">431</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">482 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">51 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">10.6 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Capital Intensity</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">11.5</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">13.3</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">1.8</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="3%" align=left><I><FONT size=2 face="Times New Roman">&nbsp;pts</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Aliant</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">95</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">108 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">13 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">12.0 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Capital Intensity</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="10%" align=right><B><I><FONT size=2 face="Times New Roman">12.2</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right><I>
		<FONT size=2 face="Times New Roman">13.2</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right><I>
		<FONT size=2 face="Times New Roman">1.0</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left><I>
		<FONT size=2 face="Times New Roman">&nbsp;pts</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total BCE Inc.</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">526</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">590 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">64 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">10.8 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<tr>
     <TD width="49%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Capital Intensity</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right
 style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 3px double #000000"><B><I>
		<FONT size=2 face="Times New Roman">11.9</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
 style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 3px double #000000"><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">13.6</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-bottom:medium none #000000; style: " width="2%">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left style="border-bottom: 3px double #000000">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-bottom: 3px double #000000">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">1.7</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="3%" align=left style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">&nbsp;pts</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
</tr>
<TR vAlign=bottom>
     <TD width="49%" align=left>&nbsp;</TD>
     <TD width="10%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">&nbsp;</TD>
     <TD width="10%" align=right>&nbsp;</TD>
     <TD width="2%" align=left>&nbsp;</TD>
     <TD style="style: ; border-top-style:none; border-top-width:medium"
  width="2%">&nbsp;</TD>
     <TD width="10%" align=left>&nbsp;</TD>
     <TD width="2%" align=left>&nbsp;</TD>
     <TD width="10%" align=right>&nbsp;</TD>
     <TD width="3%" align=left>&nbsp;</TD></TR></TABLE>&nbsp;<P align=right style="margin-bottom: 0">
<font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 4</font></P>
<HR noShade SIZE=1 color="#000000">



<P align=right><B><FONT face="Times New Roman">BCE Inc.<br>
Segmented Data &#150; Historical Trend</FONT></B></P>
<TABLE border=0 cellPadding=0 width="100%"
style="border-bottom-width: 0px; border-collapse:collapse">
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">Total </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2
  face="Times New Roman">($ millions, except where otherwise indicated) (unaudited)</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">Q1 10</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">2009 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">Q4 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">Q3 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">Q2 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">Q1 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Revenues</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireline</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">2,658</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">10,666 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,840 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,659 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,575 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,592 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireless</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">1,153</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">4,558 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,198 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,178 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,104 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,078 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2
  face="Times New Roman">Inter-segment eliminations </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">(53</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(204 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(56 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(49 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(51 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(48 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total Bell</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">3,758</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">15,020 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">3,982 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">3,788 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">3,628 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">3,622 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Aliant</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">779</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">3,174 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">785 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">786 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">785 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">818 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2
  face="Times New Roman">Inter-segment eliminations </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">(105</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(459 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(117 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(117 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(116 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(109 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total BCE Inc.</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">4,432</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">17,735 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">4,650 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">4,457 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">4,297 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">4,331 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">EBITDA</FONT></B><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireline</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">1,043</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">3,907 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">960 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">973 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">982 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">992 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Margin</FONT></I><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="8%" align=right><B><I><FONT size=2 face="Times New Roman">39.2</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">36.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">33.8</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">36.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">38.1</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">38.3</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireless</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">412</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,812 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">435 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">475 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">468 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">434 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Margin</FONT></I><font size="2" face="Times New Roman">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B><I>
		<FONT size=2 face="Times New Roman">35.7</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">39.8</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">36.3</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">40.3</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">42.4</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">40.3</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total Bell</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">1,455</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">5,719 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1,395 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1,448 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1,450 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1,426 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Margin</FONT></I><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="8%" align=right><B><I><FONT size=2 face="Times New Roman">38.7</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">38.1</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">35.0</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">38.2</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">40.0</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">39.4</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Aliant</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">329</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,370 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">342 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">353 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">341 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">334 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Margin</FONT></I><font size="2" face="Times New Roman">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B><I>
		<FONT size=2 face="Times New Roman">42.2</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">43.2</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">43.6</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">44.9</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">43.4</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">40.8</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total BCE Inc.</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">1,784</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">7,089 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1,737 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1,801 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1,791 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1,760 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Margin</FONT></I><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="8%" align=right><B><I><FONT size=2 face="Times New Roman">40.3</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">40.0</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">37.4</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">40.4</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">41.7</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">40.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Operating income</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireline</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">516</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,148 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">280 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">229 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">290 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">349 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireless</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">271</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1,284 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">292 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">354 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">338 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">300 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total Bell</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">787</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">2,432 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">572 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">583 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">628 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">649 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Aliant</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">175</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">759 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">179 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">199 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">196 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">185 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total BCE Inc.</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">962</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">3,191 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">751 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">782 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">824 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="8%" align=right>
		<FONT size=2 face="Times New Roman">834 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 2pt double" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Capital expenditures</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireline</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">379</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,717 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">498 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">412 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">455 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">352 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Capital Intensity</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><I><FONT size=2 face="Times New Roman">14.3</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">16.1</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">17.5</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">15.5</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">17.7</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">13.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Wireless</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">52</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">673 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">142 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">177 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">224 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">130 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Capital Intensity</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B><I>
		<FONT size=2 face="Times New Roman">4.5</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">14.8</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">11.9</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">15.0</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">20.3</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">12.1</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total Bell</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">431</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">2,390 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">640 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">589 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">679 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">482 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Capital Intensity</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><I><FONT size=2 face="Times New Roman">11.5</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">15.9</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">16.1</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">15.5</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">18.7</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">13.3</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><B><FONT size=2
  face="Times New Roman">Bell Aliant</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">95</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">464 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">120 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">115 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">121 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">108 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Capital Intensity</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B><I>
		<FONT size=2 face="Times New Roman">12.2</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">14.6</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">15.3</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">14.6</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">15.4</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2 face="Times New Roman">13.2</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total BCE Inc.</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">526</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,854 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">760 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">704 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">800 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">590 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><I><FONT size=2
  face="Times New Roman">Capital Intensity</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right style="border-bottom: 3px double #000000"><B><I>
		<FONT size=2 face="Times New Roman">11.9</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left style="border-bottom: 3px double #000000"><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-bottom:medium none #000000; style: " width="2%">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">16.1</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="border-bottom:medium none #000000; style: " width="2%">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">16.3</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">15.8</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">18.6</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">13.6</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left style="border-bottom: 3px double #000000"><I>
		<FONT size=2 face="Times New Roman">%</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD></TR></TABLE><font size="2"
face="Times New Roman"><BR>
</font>
<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 5</font></P>
<HR noShade SIZE=1 color="#000000">



<P align=right><B><font face="Times New Roman">Bell Wireline </font><SUP>
<font face="Times New Roman">(2)</font></SUP></B></P>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">Q1</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">Q1 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2
  face="Times New Roman">($ millions, except where otherwise indicated) (unaudited)</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="9%" align=right><B><FONT size=2 face="Times New Roman">2010</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">2009 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">% change </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Bell Wireline</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="9%" align=left
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"
  bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"
  bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="3%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Local &amp; access </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">762</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">805 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(5.3 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Long distance </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">238</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">278 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(14.4 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Data </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">912</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">912 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">- </FONT> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Video </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">428</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">387 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">10.6 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Equipment &amp; other </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="9%" align=right><B><FONT size=2 face="Times New Roman">237</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">133 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">78.2 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Total external revenues </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">2,577</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">2,515 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">2.5 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Inter-segment revenues </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="9%" align=right><B><FONT size=2 face="Times New Roman">81</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">77 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">5.2 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total Bell Wireline operating revenue</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">2,658</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">2,592 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">2.5 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Operating expenses </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="9%" align=right><B><FONT size=2 face="Times New Roman">(1,615</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(1,600 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(0.9 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">EBITDA</FONT></B><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">1,043</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">992 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">5.1 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2
  face="Times New Roman">EBITDA Margin</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">39.2</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">38.3</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">0.9</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="3%" align=left><I><FONT size=2 face="Times New Roman">&nbsp;pts</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Operating income</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">516</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">349 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">47.9 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="10%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%"><font size="1">&nbsp;</font></TD>
     <TD width="10%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="3%" align=left><font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Capital expenditures </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">379</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">352 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(7.7 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Capital intensity </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">14.3</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><I>
		<FONT size=2 face="Times New Roman">%</FONT></I></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">13.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><I><FONT size=2 face="Times New Roman">(0.7</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="3%" align=left><I><FONT size=2 face="Times New Roman">) pts</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="9%" align=left
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="10%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%"><font size="1">&nbsp;</font></TD>
     <TD width="10%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="3%" align=left><font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Local</FONT></B><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="9%" align=left bgcolor="#C0C0C0"
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="3%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Network access services (NAS) </FONT> </TD>
     <TD width="9%" align=left
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Residential </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">3,810,912</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">4,143,305 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(8.0 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Business </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="9%" align=right><B><FONT size=2 face="Times New Roman">2,950,281</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">3,060,902 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(3.6 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Total </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">6,761,193</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">7,204,207 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(6.1 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Network access service net (losses)/activations </FONT> </TD>
     <TD width="9%" align=left
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="3%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Residential </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">(75,618</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(77,766 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">2.8 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Business </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="9%" align=right><B><FONT size=2 face="Times New Roman">(24,211</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">(26,473 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">8.5 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Total </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">(99,829</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">(104,239 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">4.2 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Internet</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="9%" align=left bgcolor="#C0C0C0"
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="3%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">High Speed Internet net activations </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">10,467</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">6,288 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">66.5 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">High Speed Internet subscribers EOP </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">2,067,458</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">2,060,821 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">0.3 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Video (DTH and VDSL)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="9%" align=left bgcolor="#C0C0C0"
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="3%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Net subscriber activations </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">19,889</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">11,743 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">69.4 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Total subscribers EOP </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">1,968,766</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">1,863,514 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">5.6 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">ARPU </FONT><SUP><FONT size=2 face="Times New Roman">(6) </FONT></SUP>
		<FONT size=2 face="Times New Roman">($/month) </FONT> </TD>
     <TD width="9%" align=right
  style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B>
		<FONT size=2 face="Times New Roman">72.60</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left
  style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">68.84 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="10%" align=right><FONT size=2 face="Times New Roman">5.5 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2 face="Times New Roman">% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="60%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Churn </FONT><SUP><FONT size=2 face="Times New Roman">(7) </FONT></SUP>
		<FONT size=2 face="Times New Roman">(%) (average per month) </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px"
  width="9%" align=right><B><FONT size=2 face="Times New Roman">1.1</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px"
  width="2%" align=left><B><FONT size=2 face="Times New Roman">%</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right>
		<FONT size=2 face="Times New Roman">1.1 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="10%" align=right><I>
		<FONT size=2 face="Times New Roman">0.0</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left><I>
		<FONT size=2 face="Times New Roman">&nbsp;pts</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD></TR></TABLE>&nbsp;<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 6</font></P>
<HR noShade SIZE=1 color="#000000">



<P align=right><B><font face="Times New Roman">Bell Wireline &#150; Historical Trend</font></B></P>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse">
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">Total </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2
  face="Times New Roman">($ millions, except where otherwise indicated) (unaudited)</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">Q1 10</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"?><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">2009 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"?><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">Q4 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">Q3 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">Q2 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">Q1 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Bell Wireline</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Local &amp; access </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">762</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">3,159 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">775 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">783 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">796 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">805 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Long distance </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">238</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,078 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">265 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">264 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">271 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">278 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Data </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">912</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">3,696 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">973 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">892 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">919 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">912 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Video </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">428</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,593 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">417 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">400 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">389 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">387 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Equipment &amp; other </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">237</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="2%">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">817 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">324 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">241 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">119 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">133 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Total external revenues </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">2,577</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">10,343 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,754 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,580 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,494 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,515 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Inter-segment revenues </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">81</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="2%">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">323 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">86 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">79 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">81 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">77 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Total Bell Wireline operating revenue</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">2,658</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">10,666 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,840 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,659 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,575 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,592 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Operating expenses </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">(1,615</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="2%">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(6,759 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(1,880 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(1,686 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(1,593 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(1,600 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">EBITDA</FONT></B><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">1,043</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">3,907 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">960 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">973 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">982 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">992 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2
  face="Times New Roman">EBITDA Margin</FONT></I><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><I><FONT size=2 face="Times New Roman">39.2</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">36.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">33.8</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">36.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">38.1</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">38.3</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Operating income</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">516</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,148 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">280 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">229 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">290 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">349 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%"><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%"><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Capital expenditures </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">379</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,717 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">498 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">412 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">455 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">352 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Capital intensity </FONT> </TD>
     <TD width="8%" align=right><B><I><FONT size=2 face="Times New Roman">14.3</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><I><FONT size=2 face="Times New Roman">%</FONT></I></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">16.1</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">17.5</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">15.5</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">17.7</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><I><FONT size=2 face="Times New Roman">13.6</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><I><FONT size=2 face="Times New Roman">%</FONT></I><font
  size="2" face="Times New Roman"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD style="style: " width="2%"><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD style="style: " width="2%"><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=right><font size="1">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Local</FONT></B><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Network access services (NAS) </FONT> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Residential </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">3,810,912</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">3,886,530 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">3,886,530 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">3,965,540 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">4,041,926 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">4,143,305 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Business </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">2,950,281</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="2%">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">2,974,492 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">2,974,492 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">3,002,985 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">3,029,686 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">3,060,902 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2" face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Total </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">6,761,193</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">6,861,022 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">6,861,022 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">6,968,525 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">7,071,612 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">7,204,207 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Network access service net (losses)/activations </FONT> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Residential </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">(75,618</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(334,541 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(79,010 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(76,386 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(101,379 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(77,766 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2
  face="Times New Roman">Business </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">(24,211</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2 face="Times New Roman">)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="2%">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(112,883 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(28,493 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(26,701 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(31,216 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">(26,473 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Total </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">(99,829</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><B><FONT size=2 face="Times New Roman">)</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(447,424 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(107,503 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(103,087 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(132,595 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">(104,239 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2 face="Times New Roman">) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Internet</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">High Speed Internet net activations </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">10,467</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">37,618 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">7,808 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">21,531 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,991 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">6,288 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">High Speed Internet subscribers EOP </FONT><SUP>
		<FONT size=2 face="Times New Roman">(A)</FONT></SUP><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">2,067,458</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,056,991 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD style="style: " width="2%"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,056,991 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,084,343 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,062,812 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">2,060,821 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2
  face="Times New Roman">Video (DTH and VDSL)</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" bgcolor="#C0C0C0"><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2"
  face="Times New Roman">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Net subscriber activations </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">19,889</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">113,315 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">40,889 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">40,665 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">20,018 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">11,743 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Total subscribers EOP </FONT><SUP><FONT size=2
  face="Times New Roman">(A)</FONT></SUP><font size="2" face="Times New Roman">
		</font> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">1,968,766</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,948,877 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,948,877 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,924,197 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,883,532 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">1,863,514 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">ARPU ($/month) </FONT> </TD>
     <TD width="8%" align=right><B><FONT size=2 face="Times New Roman">72.60</FONT></B><font
  size="2" face="Times New Roman"> </font> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">69.59 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="2%"><font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">71.12 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">69.35 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">68.98 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD>
     <TD width="8%" align=right><FONT size=2 face="Times New Roman">68.84 </FONT> </TD>
     <TD width="2%" align=left><font size="2" face="Times New Roman">&nbsp;
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="36%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2
  face="Times New Roman">Churn (%) (average per month) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2 face="Times New Roman">1.1</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2 face="Times New Roman">%</FONT></B><font size="2"
  face="Times New Roman"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="2%">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1.2 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="2%">
		<font size="2" face="Times New Roman">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1.4 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1.1 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2 face="Times New Roman">1.1 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2 face="Times New Roman">% </FONT> </TD></TR></TABLE>
&nbsp;<table border="0" width="100%" cellpadding="0"
style="border-collapse: collapse" id="table4">
	<tr>
		<td width="2%" valign="top"><font size="1" face="Times New Roman">(A) </font></td>
		<td width="98%" valign="top">
<P align=left><FONT face="Times New Roman" size="2">Following a company-wide review of subscriber metrics, our Internet and Video customer base were reduced by 35,160 and 16,209, respectively, at the end of Q4 2009.</FONT></P>
		</td>
	</tr>
</table>
<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 7</font></P>
<HR noShade SIZE=1 color="#000000">




<P align=right><B>Bell Wireless <sup>(2)</sup></B></P>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse" id="table5">
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><B><FONT size=2>Q1</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>Q1 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I>
		<FONT size=2>($ millions, except where otherwise indicated) (unaudited)</FONT></I><font size="2">
		</font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>2010</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>2009 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>% change </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Bell Wireless</FONT></B><font size="2">
		</font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0" style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="3%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="3%" align=left><font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Revenue</FONT></B><font size="2">
		</font> </TD>
     <TD width="8%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Service </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>1,056</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>986 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>7.1 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Product </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>86</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>82 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>4.9 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Total external Bell Wireless revenues</FONT></B><font size="2">
		</font> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>1,142</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>1,068 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>6.9 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Inter-segment revenues </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>11</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>10 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>10.0 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Total Bell Wireless operating revenues</FONT></B><font size="2">
		</font> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>1,153</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>1,078 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>7.0 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Operating expenses </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>(741</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left><B>
		<FONT size=2>)</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(644 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(15.1 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>EBITDA</FONT></B><font size="2">
		</font> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>412</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>434 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(5.1 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>EBITDA margin (Total revenues)</FONT></I><font size="2">
		</font> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><I><FONT size=2>35.7</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><I><FONT size=2>%</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2>40.3</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2>(4.6</FONT></I><font size="2">
		</font> </TD>
     <TD width="3%" align=left><I><FONT size=2>) pts</FONT></I><font size="2">
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>EBITDA margin (Service revenues)</FONT></I><font size="2">
		</font> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><I><FONT size=2>39.0</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><I><FONT size=2>%</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2>44.0</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2>(5.0</FONT></I><font size="2">
		</font> </TD>
     <TD width="3%" align=left><I><FONT size=2>) pts</FONT></I><font size="2">
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Operating Income</FONT></B><font size="2">
		</font> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>271</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>300 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(9.7 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>%) </FONT> </TD></TR>
<tr>
     <TD width="67%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="3%" align=left><font size="1">&nbsp;</font></TD>
</tr>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Capital expenditures </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>52</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>130 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>60.0 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="border-left-width:1px; border-right-width:1px; border-top-width:1px; border-bottom-width:1pt" width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px">
		<FONT size=2>Capital intensity </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-right-width:1px; border-top-width:1px; border-bottom-width:1px" width="8%" align=right><B>
		<FONT size=2>4.5</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-left-width:1px; border-top-width:1px; border-bottom-width:1px" width="2%" align=left><B>
		<FONT size=2>%</FONT></B><font size="2"> </font> </TD>
     <TD style="style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px; border-bottom-width:1pt" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="border-left-width:1px; border-right-width:1px; border-top-width:1px; border-bottom-width:1pt" width="8%" align=right>
		<FONT size=2>12.1 </FONT> </TD>
     <TD style="border-left-width:1px; border-right-width:1px; border-top-width:1px; border-bottom-width:1pt" width="2%" align=left>
		<FONT size=2>% </FONT> </TD>
     <TD style="style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px; border-bottom-width:1pt" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="border-left-width:1px; border-right-width:1px; border-top-width:1px; border-bottom-width:1pt" width="8%" align=right><I>
		<FONT size=2>7.6</FONT></I><font size="2"> </font> </TD>
     <TD style="border-left-width:1px; border-right-width:1px; border-top-width:1px; border-bottom-width:1pt" width="3%" align=left><I>
		<FONT size=2>&nbsp;pts</FONT></I><font size="2"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="67%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right>
		<font size="1">&nbsp;</font></TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Wireless gross activations </FONT><SUP>
		<FONT size=2>(A)</FONT></SUP><font size="2"> </font> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>428,834</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>365,852 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>17.2 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>264,312</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>210,131 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>25.8 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Wireless net activations </FONT><SUP>
		<FONT size=2>(A)</FONT></SUP><font size="2"> </font> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>55,625</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>30,295 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>83.6 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>81,212</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>35,021 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>n.m. </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Wireless subscribers EOP
		<sup>(A) (C)</sup> </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>6,888,927</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>6,527,816 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>5.5 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>5,122,442</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>4,780,188 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>7.2 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Average revenue per unit (ARPU) </FONT><SUP>
		<FONT size=2>(B) </FONT></SUP><FONT size=2>($/month) </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>50.07</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>51.52 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(2.8 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Prepaid </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>16.87</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>15.38 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>9.7 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>61.72</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>62.34 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(1.0 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Churn (%) </FONT><SUP><FONT size=2>(B) </FONT></SUP>
		<FONT size=2>(average per month) </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>1.8</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>1.6 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2>(0.2</FONT></I><font size="2">
		</font> </TD>
     <TD width="3%" align=left><I><FONT size=2>) pts</FONT></I><font size="2">
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Prepaid </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>3.4</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>2.9 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2>(0.5</FONT></I><font size="2">
		</font> </TD>
     <TD width="3%" align=left><I><FONT size=2>) pts</FONT></I><font size="2">
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>1.2</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left><B>
		<FONT size=2>%</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>1.2 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2>0.0</FONT></I><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left><I>
		<FONT size=2>&nbsp;pts</FONT></I><font size="2"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Usage per subscriber </FONT><SUP>
		<FONT size=2>(B) (C) </FONT></SUP><FONT size=2>(min/month) </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>259</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>279 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(7.2 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px">
		<FONT size=2>Cost of acquisition (COA) </FONT><SUP><FONT size=2>(8) (B) </FONT></SUP>
		<FONT size=2>($/sub) </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>362</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>397 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>8.8 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>PRO FORMA </FONT><SUP>
		<FONT size=2>(D)</FONT></SUP></B><font size="2"> </font> </TD>
     <TD width="8%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Average revenue per unit (ARPU) </FONT><SUP>
		<FONT size=2>(D) </FONT></SUP><FONT size=2>($/month) </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>50.07</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>49.84 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>0.5 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Prepaid </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>16.87</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>16.05 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>5.1 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>61.72</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>62.24 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(0.8 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Churn (%) </FONT><SUP><FONT size=2>(D) </FONT></SUP>
		<FONT size=2>(average per month) </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>1.8</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>1.7 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2>(0.1</FONT></I><font size="2">
		</font> </TD>
     <TD width="3%" align=left><I><FONT size=2>) pts</FONT></I><font size="2">
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Prepaid </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>3.4</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>3.0 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2>(0.4</FONT></I><font size="2">
		</font> </TD>
     <TD width="3%" align=left><I><FONT size=2>) pts</FONT></I><font size="2">
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>1.2</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left><B>
		<FONT size=2>%</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>1.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><I>
		<FONT size=2>0.1</FONT></I><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left><I>
		<FONT size=2>&nbsp;pts</FONT></I><font size="2"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Usage per subscriber </FONT><SUP>
		<FONT size=2>(C) (D) </FONT></SUP><FONT size=2>(min/month) </FONT> </TD>
     <TD width="8%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>259</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>271 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(4.4 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="67%" align=left>
		<p style="text-indent: -12px; margin-left: 12px">
		<FONT size=2>Cost of acquisition (COA) </FONT><SUP><FONT size=2>(8) (D) </FONT></SUP>
		<FONT size=2>($/sub) </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="8%" align=right><B>
		<FONT size=2>362</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>374 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>3.2 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>% </FONT> </TD></TR></TABLE>&nbsp;<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table6">
	<tr>
		<td width="2%" valign="top"><font size="1">(A)</font></td>
		<td width="98%">
<P align=left><font size="2">Total wireless gross activations, net activations and EOP subscribers include 100% of Virgin Mobile&#146;s subscribers.</font></P>
		</td>
	</tr>
	<tr>
		<td width="2%" valign="top"><font size="1">(B)</font></td>
		<td width="98%">
<P align=left><font size="2">Beginning in Q3 2009, wireless average revenue per unit, churn, usage per subscriber and cost of acquisition reflect 100% of Virgin&#146;s results due to our acquisition on July 1, 2009 of the remaining 50% not already owned. All prior periods reflect the original 50% ownership.</font></P>
		</td>
	</tr>
	<tr>
		<td width="2%" valign="top"><font size="1">(C)</font></td>
		<td width="98%">
<P align=left><font size="2">Following a company-wide review of subscriber metrics, we reduced subscribers by 34,752 for postpaid and 2,074 for prepaid as at the end of Q4 2009. The definition of usage per subscriber has been refined and all prior periods have been restated for comparability.</font></P>
		</td>
	</tr>
	<tr>
		<td width="2%" valign="top"><font size="1">(D)</font></td>
		<td width="98%">
<P align=left><font size="2">Wireless average revenue per unit, churn, usage per subscriber and cost of acquisition in the prior years have been restated to include 100% of Virgin Mobile results, rather than 50%.</font></P>
		</td>
	</tr>
</table>


<P align=right>&nbsp;</P>
<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 8</font></P>
<HR noShade SIZE=1 color="#000000">




<P align=right>&nbsp;</P>
<P align=right><B>Bell Wireless &#150; Historical Trend</B></P>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse" id="table7">
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>Total </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I>
		<FONT size=2>($ millions, except where otherwise indicated) (unaudited)</FONT></I><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>Q1 10</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>2009 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>Q4 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>Q3 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>Q2 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>Q1 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left bgcolor="#C0C0C0">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Bell Wireless</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="7%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="7%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="7%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="7%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="7%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="7%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Revenue</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Service </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>1,056</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>4,102 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,055 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,056 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,005 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>986 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Product </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>86</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%"><font size="2">&nbsp;
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>405 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>129 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>106 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>88 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>82 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Total external Bell Wireless revenues</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2>1,142</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>4,507 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,184 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,162 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,093 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,068 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Inter-segment revenues </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>11</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>51 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>14 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>16 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>11 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>10 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Total Bell Wireless operating revenues</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2>1,153</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>4,558 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,198 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,178 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,104 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,078 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Operating expenses </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>(741</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2>)</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>(2,746 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>(763 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>(703 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>(636 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>(644 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>EBITDA</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2>412</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,812 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>435 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>475 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>468 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>434 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>EBITDA margin (Total revenues)</FONT></I><font size="2">
		</font> </TD>
     <TD width="7%" align=right><B><I><FONT size=2>35.7</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><I><FONT size=2>%</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I><FONT size=2>39.8</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I><FONT size=2>36.3</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I><FONT size=2>40.3</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I><FONT size=2>42.4</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I><FONT size=2>40.3</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>EBITDA margin (Service revenues)</FONT></I><font size="2">
		</font> </TD>
     <TD width="7%" align=right><B><I><FONT size=2>39.0</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><I><FONT size=2>%</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I><FONT size=2>44.2</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I><FONT size=2>41.2</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I><FONT size=2>45.0</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I><FONT size=2>46.6</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I><FONT size=2>44.0</FONT></I><font size="2">
		</font> </TD>
     <TD width="2%" align=left><I><FONT size=2>%</FONT></I><font size="2">
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Operating Income</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2>271</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,284 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>292 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>354 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>338 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>300 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left><font size="2">&nbsp;</font></TD>
     <TD width="7%" align=right><font size="2">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="7%" align=right><font size="2">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="7%" align=right><font size="2">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="7%" align=right><font size="2">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="7%" align=right><font size="2">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="7%" align=right><font size="2">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="2">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Capital expenditures </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>52</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>673 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>142 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>177 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>224 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>130 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px">
		<FONT size=2>Capital intensity </FONT> </TD>
     <TD width="7%" align=right><B><I>
		<FONT size=2>4.5</FONT></I></B><font size="2"> </font> </TD>
     <TD width="2%" align=left><B><I>
		<FONT size=2>%</FONT></I></B><font size="2"> </font> </TD>
     <TD width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I>
		<FONT size=2>14.8</FONT></I><font size="2"> </font> </TD>
     <TD width="2%" align=left><I>
		<FONT size=2>%</FONT></I><font size="2"> </font> </TD>
     <TD width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I>
		<FONT size=2>11.9</FONT></I><font size="2"> </font> </TD>
     <TD width="2%" align=left><I>
		<FONT size=2>%</FONT></I><font size="2"> </font> </TD>
     <TD width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I>
		<FONT size=2>15.0</FONT></I><font size="2"> </font> </TD>
     <TD width="2%" align=left><I>
		<FONT size=2>%</FONT></I><font size="2"> </font> </TD>
     <TD width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I>
		<FONT size=2>20.3</FONT></I><font size="2"> </font> </TD>
     <TD width="2%" align=left><I>
		<FONT size=2>%</FONT></I><font size="2"> </font> </TD>
     <TD width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><I>
		<FONT size=2>12.1</FONT></I><font size="2"> </font> </TD>
     <TD width="2%" align=left><I>
		<FONT size=2>%</FONT></I><font size="2"> </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<font size="1">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Wireless gross activations </FONT><SUP>
		<FONT size=2>(A)</FONT></SUP><font size="2"> </font> </TD>
     <TD width="7%" align=right><B><FONT size=2>428,834</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,794,237 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>523,739 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>500,895 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>403,751 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>365,852 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>264,312</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>1,056,126 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>300,233 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>301,876 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>243,886 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>210,131 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Wireless net activations </FONT><SUP>
		<FONT size=2>(A)</FONT></SUP><font size="2"> </font> </TD>
     <TD width="7%" align=right><B><FONT size=2>55,625</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>372,607 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>162,859 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>134,737 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>44,716 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>30,295 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>81,212</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>330,815 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>109,921 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>121,692 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>64,181 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>35,021 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Wireless subscribers EOP<sup> (A) (C)
		</sup> </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>6,888,927</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>6,833,302 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>6,833,302 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>6,707,269 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>6,572,532 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>6,527,816 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>5,122,442</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>5,041,230 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>5,041,230 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>4,966,061 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>4,844,369 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>4,780,188 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Average revenue per unit (ARPU) </FONT><SUP>
		<FONT size=2>(B) </FONT></SUP><FONT size=2>($/month) </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>50.07</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>51.70 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>51.08 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>52.13 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>52.05 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>51.52 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Prepaid </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>16.87</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>17.15 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>18.45 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>18.36 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>16.41 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>15.38 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>61.72</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>62.87 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>62.47 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>64.09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>62.58 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>62.34 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Churn (%) </FONT><SUP><FONT size=2>(B) </FONT></SUP>
		<FONT size=2>(average per month) </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>1.8</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1.7 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1.8 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1.8 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1.7 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1.6 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Prepaid </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>3.4</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>3.2 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>3.2 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>3.5 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>3.3 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>2.9 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>1.2</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2>%</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>1.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>1.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>1.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>1.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>1.2 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Usage per subscriber </FONT><SUP>
		<FONT size=2>(B) (C) </FONT></SUP><FONT size=2>(min/month) </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>259</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>287 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>281 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>291 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>299 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>279 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px">
		<FONT size=2>Cost of acquisition (COA) </FONT><SUP><FONT size=2>(B) </FONT></SUP>
		<FONT size=2>($/sub) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>362</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>350 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>327 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>320 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>356 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>397 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>PRO FORMA </FONT><SUP>
		<FONT size=2>(D)</FONT></SUP></B><font size="2"> </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Average revenue per unit (ARPU) </FONT><SUP>
		<FONT size=2>(D) </FONT></SUP><FONT size=2>($/month) </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>50.07</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>50.88 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>51.08 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>52.13 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>50.46 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>49.84 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Prepaid </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>16.87</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>17.53 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>18.45 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>18.36 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>17.26 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>16.05 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>61.72</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>62.81 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>62.47 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>64.09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>62.48 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>62.24 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Churn (%) </FONT><SUP><FONT size=2>(D) </FONT></SUP>
		<FONT size=2>(average per month) </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>1.8</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1.8 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1.8 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1.8 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1.8 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1.7 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Prepaid </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>3.4</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>3.2 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>3.2 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>3.5 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>3.3 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>3.0 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Postpaid </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>1.2</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2>%</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>1.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>1.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>1.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>1.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>1.3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Usage per subscriber </FONT><SUP>
		<FONT size=2>(C) (D) </FONT></SUP><FONT size=2>(min/month) </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>259</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>283 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>281 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>291 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>290 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>271 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px">
		<FONT size=2>Cost of acquisition (COA) </FONT><SUP><FONT size=2>(D) </FONT></SUP>
		<FONT size=2>($/sub) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right><B>
		<FONT size=2>362</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>336 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>327 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>320 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>333 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="7%" align=right>
		<FONT size=2>374 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR></TABLE>&nbsp;<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table8">
	<tr>
		<td width="2%" valign="top"><font size="1">(A)</font></td>
		<td width="98%">
<P align=left><font size="2">Total wireless gross activations, net activations and EOP subscribers include 100% of Virgin Mobile&#146;s subscribers.</font></P>
		</td>
	</tr>
	<tr>
		<td width="2%" valign="top"><font size="1">(B)</font></td>
		<td width="98%">
<P align=left><font size="2">Beginning in Q3 2009, wireless average revenue per unit, churn, usage per subscriber and cost of acquisition reflect 100% of Virgin&#146;s results due to our acquisition on July 1, 2009 of the remaining 50% not already owned. All prior periods reflect the original 50% ownership.</font></P>
		</td>
	</tr>
	<tr>
		<td width="2%" valign="top"><font size="1">(C)</font></td>
		<td width="98%">
<P align=left><font size="2">Following a company-wide review of subscriber metrics, we reduced subscribers by 34,752 for postpaid and 2,074 for prepaid as at the end of Q4 2009. The definition of usage per subscriber has been refined and all prior periods have been restated for comparability.</font></P>
		</td>
	</tr>
	<tr>
		<td width="2%" valign="top"><font size="1">(D)</font></td>
		<td width="98%">
<P align=left><font size="2">Wireless average revenue per unit, churn, usage per subscriber and cost of acquisition in the prior years have been restated to include 100% of Virgin Mobile results, rather than 50%.</font></P>
		</td>
	</tr>
</table>


<P align=right><font size="2">&nbsp;&nbsp;</font></P>
<P align=right style="margin-bottom: 0"><font size="2">&nbsp;&nbsp;&nbsp;</font><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 9</font></P>
<HR noShade SIZE=1 color="#000000">




<p align="right" style="margin-bottom: 0">&nbsp;</p>
<P align=right><B>BCE Inc.<br>
Net debt and other information
<SUP>(2)</SUP></B></P>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse; border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px" id="table9">
<TR vAlign=bottom>
     <TD width="71%" align=left bgcolor="#C0C0C0" style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>BCE Inc. &#150; Net debt and preferreds</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD style="border-top:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-bottom-width:1px" width="1%" bgcolor="#C0C0C0">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD style="border-top:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-bottom-width:1px" width="1%" bgcolor="#C0C0C0">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2">&nbsp;</font></TD>
     <TD width="7%" align=left><font size="2">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="2">&nbsp;</font></TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD width="7%" align=right><font size="2">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="2">&nbsp;</font></TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD width="7%" align=left><font size="2">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>At March 31, 2010</FONT></I><font size="2">
		</font> </TD>
     <TD width="7%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-top:1px solid #000000; border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom: 1px solid #000000"><B><FONT size=2>BCE Inc.</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-top:1px solid #000000; border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>(unaudited)</FONT></I><font size="2">
		</font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>($ millions, except where otherwise indicated)</FONT></I><font size="2">
		</font> </TD>
     <TD width="7%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style; border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style; border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><B><FONT size=2>Bell</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>Bell</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>Aliant</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>BCE Inc.</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Debt due within one year </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2>580 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>167 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>747 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Long-term debt </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2>7,543 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>2,758 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>10,301 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Securitization of accounts receivable </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2>1,140 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>165 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,305 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Preferred shares &#150; BCE </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2>2,770 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="style"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>2,770 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Cash and cash equivalents </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>(730 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>) </FONT> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>(18 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>) </FONT> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>(748 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="71%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Net debt</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>11,303</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>3,072</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>14,375</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD></TR></TABLE>
<font size="2"><BR>
</font>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse" id="table10">
<TR vAlign=bottom>
     <TD width="81%" align=left bgcolor="#C0C0C0" style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Bell &#150; Balance Sheet Information</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>(unaudited)</FONT></I><font size="2">
		</font> </TD>
     <TD width="7%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>($ millions, except where otherwise indicated)</FONT></I><font size="2">
		</font> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>March 31</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>Dec. 31 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-bottom:1px solid #000000; border-left:1px solid #000000; border-right-width: 1px; border-top-width: 1px; "><B><FONT size=2>2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-bottom:1px solid #000000; border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; "><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>2009 </FONT> </TD>
     <TD width="2%" align=left style="border-bottom:1px solid #000000; border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; "><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2">&nbsp;</font></TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="7%" align=right><font size="2">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="2">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Debt due within one year </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>580</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>543 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Long-term debt </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>7,543</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>7,541 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Securitization of accounts receivable </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>1,140</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,140 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Preferred shares &#150; BCE </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>2,770</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>2,770 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Cash and cash equivalents </FONT> </TD>
     <TD width="7%" align=right style="border-bottom:1px solid #000000; border-left:1px solid #000000; border-right-width: 1px; border-top-width: 1px; "><B><FONT size=2>(730</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-bottom:1px solid #000000; border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; "><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>(660 </FONT> </TD>
     <TD width="2%" align=left style="border-bottom:1px solid #000000; border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; "><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Net Debt</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>11,303</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>11,334 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">&nbsp;</TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">&nbsp;</TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">&nbsp;</TD>
     <TD style="style: " width="1%">
		&nbsp;</TD>
     <TD width="7%" align=right>&nbsp;</TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Net Debt: Trailing 12 month EBITDA, including Bell Aliant distributions to BCE </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>1.87</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1.89 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="81%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>EBITDA, including Bell Aliant distributions to BCE: Net interest, securitization costs and preferred dividends (trailing 12 months) </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>9.17</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>8.79 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD></TR></TABLE>
<font size="2"><BR>
</font>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse" id="table11">
<TR vAlign=bottom>
     <TD width="61%" align=left bgcolor="#C0C0C0" style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Cash Flow Information</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>(unaudited)</FONT></I><font size="2">
		</font> </TD>
     <TD width="7%" align=right style="border-top:1px solid #000000; border-left:1px solid #000000; border-right-width: 1px; border-bottom-width: 1px"><B><FONT size=2>Q1</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-top:1px solid #000000; border-left-width: 1px; border-right: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>Q1 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>($ millions, except where otherwise indicated)</FONT></I><font size="2">
		</font> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>2009 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>$ change </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>% change </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="7%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="7%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="7%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Free Cash Flow (FCF)</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Cash from operating activities </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>953</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>723 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>230 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>31.8 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Capital expenditures </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>(431</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(482 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>51 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>10.6 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Other investing activities </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>(22</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(14 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(8 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(57.1 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2>%) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Dividends paid on preferred shares </FONT> </TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>(28</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(28 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Bell Aliant distributions to BCE </FONT> </TD>
     <TD width="7%" align=right style="border-bottom:1px solid #000000; border-left:1px solid #000000; border-right-width: 1px; border-top-width: 1px; "><B><FONT size=2>73</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-bottom:1px solid #000000; border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; "><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>73 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left style="border-bottom:1px solid #000000; border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; "><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>FCF</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=right style="border-bottom:1px solid #000000; border-left:1px solid #000000; border-right-width: 1px; border-top-width: 1px; "><B><FONT size=2>545</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-bottom:1px solid #000000; border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; "><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>272 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>273 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>n.m. </FONT> </TD>
     <TD width="2%" align=left style="border-bottom:1px solid #000000; border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; "><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD style="style: " width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD style="style: " width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD></TR>
<tr>
     <TD width="61%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
</tr>
</TABLE>
<font size="2"><BR>
</font>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse" id="table12">
<TR vAlign=bottom>
     <TD width="37%" align=left bgcolor="#C0C0C0" style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Cash Flow Information &#150; Historical Trend</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="5%" bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left bgcolor="#C0C0C0" style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="37%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>(unaudited)</FONT></I><font size="2">
		</font> </TD>
     <TD width="7%" align=right><B><FONT size=2>Q1</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="5%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>Total </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>Q4 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>Q3 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>Q2 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>Q1 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="37%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><I><FONT size=2>($ millions, except where otherwise indicated)</FONT></I><font size="2">
		</font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>2010</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="5%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>2009 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>2009 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>2009 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>2009 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>2009 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="37%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">&nbsp;</TD>
     <TD width="7%" align=left>&nbsp;</TD>
     <TD width="2%" align=left>&nbsp;</TD>
     <TD width="5%">&nbsp;</TD>
     <TD width="7%" align=left>&nbsp;</TD>
     <TD width="2%" align=left>&nbsp;</TD>
     <TD width="1%">&nbsp;</TD>
     <TD width="7%" align=left>&nbsp;</TD>
     <TD width="2%" align=left>&nbsp;</TD>
     <TD width="1%">&nbsp;</TD>
     <TD width="7%" align=left>&nbsp;</TD>
     <TD width="2%" align=left>&nbsp;</TD>
     <TD width="1%">&nbsp;</TD>
     <TD width="7%" align=left>&nbsp;</TD>
     <TD width="2%" align=left>&nbsp;</TD>
     <TD width="1%">&nbsp;</TD>
     <TD width="7%" align=left>&nbsp;</TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">&nbsp;</TD></TR>
<TR vAlign=bottom>
     <TD width="37%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Free Cash Flow (FCF)</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="5%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="37%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Cash from operating activities </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>953</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="5%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>3,755 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>621 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,230 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>1,181 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>723 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="37%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Capital expenditures </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>(431</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="5%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(2,390 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(640 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(589 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(679 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(482 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="37%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Other investing activities </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>(22</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="5%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(93 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(12 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(39 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(28 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(14 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="37%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Dividends paid on preferred shares </FONT> </TD>
     <TD width="7%" align=right><B><FONT size=2>(28</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="5%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(107 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(26 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(26 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(27 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right><FONT size=2>(28 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="37%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Bell Aliant distributions to BCE </FONT> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>73</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="5%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>291 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>72 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>73 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>73 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>73 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="37%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>FCF</FONT></B><font size="2">
		</font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>545</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="5%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>1,456 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>15 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>649 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>520 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>272 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="37%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="5%">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="1">&nbsp; </font> </TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD width="7%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000">
		<font size="1">&nbsp;</font></TD></TR></TABLE>
<font size="2"><BR>
</font>
<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 10</font></P>
<HR noShade SIZE=1 color="#000000">




<p style="margin-bottom: 0">&nbsp;</p>
<P align=right><B>BCE Inc.<br>
Consolidated Balance Sheet Data</B></P>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse" id="table13">
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><B><FONT size=2>March 31</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>December 31 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I>
		<FONT size=2>($ millions, except where otherwise indicated) (unaudited)</FONT></I><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>2010</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>2009 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2>ASSETS</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Current assets</FONT></B><font size="2">
		</font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Cash and cash equivalents </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>748</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>687 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Accounts receivable </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>1,523</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>1,605 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Future income taxes </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>128</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>110 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Inventory </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>446</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>448 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Prepaid expenses </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>389</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>296 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Other current assets </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>145</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>137 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Current assets of discontinued operations </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>1</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>1 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Total current assets</FONT></B><font size="2">
		</font> </TD>
     <TD width="9%" align=right><B><FONT size=2>3,380</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>3,284 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Capital assets</FONT></B><font size="2">
		</font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Property, plant and equipment </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>19,381</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>19,441 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Finite-life intangible assets </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>2,483</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>2,541 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Indefinite-life intangible assets </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>3,817</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>3,803 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Total capital assets</FONT></B><font size="2">
		</font> </TD>
     <TD width="9%" align=right><B><FONT size=2>25,681</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>25,785 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Other long-term assets</FONT></B><font size="2">
		</font> </TD>
     <TD width="9%" align=right><B><FONT size=2>3,126</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>3,207 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Goodwill</FONT></B><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>5,774</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>5,774 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B>
		<FONT size=2>Total assets</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>37,961</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>38,050 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2>LIABILITIES</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Current liabilities</FONT></B><font size="2">
		</font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Accounts payable and accrued liabilities </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>3,568</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>3,716 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Interest payable </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>133</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>113 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Dividends payable </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>375</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>354 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Debt due within one year </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>747</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>600 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Current liabilities of discontinued operations </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>3</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Total current liabilities</FONT></B><font size="2">
		</font> </TD>
     <TD width="9%" align=right><B><FONT size=2>4,826</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>4,786 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Long-term debt</FONT></B><font size="2">
		</font> </TD>
     <TD width="9%" align=right><B><FONT size=2>10,301</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>10,299 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Other long-term liabilities</FONT></B><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>4,808</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>4,942 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Total liabilities</FONT></B><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>19,935</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>20,027 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Non-controlling interest</FONT></B><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>1,031</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>1,049 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><I><FONT size=2>SHAREHOLDERS&#146; EQUITY</FONT></I></B><font size="2">
		</font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Preferred shares</FONT></B><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>2,770</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>2,770 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Common shareholders&#146; equity</FONT></B><font size="2">
		</font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Common shares </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>12,851</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>12,921 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Contributed surplus </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>2,485</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>2,490 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Accumulated other comprehensive income </FONT> </TD>
     <TD width="9%" align=right><B><FONT size=2>(38</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="9%" align=right><FONT size=2>92 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Deficit </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>(1,073</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2>)</FONT></B><font size="2"> </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>(1,299 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Total common shareholders&#146; equity</FONT></B><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>14,225</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>14,204 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Total shareholders&#146; equity</FONT></B><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>16,995</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>16,974 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B>
		<FONT size=2>Total liabilities and shareholders&#146; equity</FONT></B><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>37,961</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>38,050 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="77%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="9%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left>
		<font size="1">&nbsp;</font></TD>
     <TD width="1%">
		<font size="1">&nbsp;</font></TD>
     <TD width="9%" align=right>
		<font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left>
		<font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="77%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B>
		<FONT size=2>Number of common shares outstanding</FONT></B><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right><B>
		<FONT size=2>763.0</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="9%" align=right>
		<FONT size=2>767.2 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR></TABLE>&nbsp;<p>&nbsp;</p>


<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 11</font></P>
<HR noShade SIZE=1 color="#000000">




<P align=right><B>BCE Inc.<br>
Consolidated Cash Flow Data</B></P>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse" id="table14">
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><B><FONT size=2>Q1</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>Q1 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I>
		<FONT size=2>($ millions, except where otherwise indicated) (unaudited)</FONT></I><font size="2">
		</font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>2010</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>2009 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>$ change </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Cash flows from operating activities</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Net earnings </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>637</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>406 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>231 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Less: Losses from discontinued operations, net of income taxes and non-controlling interest </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>-</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(6 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>6 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Earnings from continuing operations </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>637</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>412 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>225 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Adjustments to reconcile earnings from continuing operations to cash flows from operating activities </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Depreciation and amortization of intangible assets </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>793</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>818 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(25 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Net benefit plans cost </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>28</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>88 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(60 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Restructuring and other </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>29</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>108 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(79 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Gains on investments </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(125</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(2 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(123 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Future income taxes </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>24</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(13 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>37 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Non-controlling interest </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>76</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>84 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(8 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Contributions to employee pension plans </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(155</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(92 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(63 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Other employee future benefit plan payments </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(24</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(24 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Payments of restructuring and other </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(94</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(77 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(17 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Operating assets and liabilities </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>(91</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left><B>
		<FONT size=2>)</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(377 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>286 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B>
		<FONT size=2>Cash flows from operating activities</FONT></B><font size="2">
		</font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>1,098</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>925 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>173 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Bell Aliant distributions to BCE </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>73</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>73 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Capital expenditures </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(526</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(590 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>64 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Other investing activities </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(21</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(13 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(8 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Cash dividends paid on preferred shares </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(28</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(28 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Cash distributions paid by subsidiaries to non-controlling interest </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(92</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(92 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Bell Aliant Free Cash Flow </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>41</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>44 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Free Cash Flow </FONT><SUP>
		<FONT size=2>(3)</FONT></SUP></B><font size="2"> </font> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>545</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>272 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>273 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Bell Aliant undistributed Free Cash Flow </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(114</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(70 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(44 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Business acquisitions </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>9</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(20 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>29 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Going-private costs </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(6 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>6 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Decrease in investments </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>10</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>10 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Increase in notes payable and bank advances </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>112</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>88 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>24 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Repayment of long-term debt </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(56</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(94 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>38 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Cash dividends paid on common shares </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(310</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(294 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(16 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Issue of common shares </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>1</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>1 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Repurchase of common shares </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>(125</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(557 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>432 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Other financing activities </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>(11</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left><B>
		<FONT size=2>)</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(10 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(1 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 12px">
		<font size="2">&nbsp; </font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>(484</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left><B>
		<FONT size=2>)</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(962 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>478 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Cash flows from (used in) continuing operations </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>61</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(690 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>751 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Cash flows used in discontinued operations activities </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>-</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(8 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>8 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Net increase (decrease) in cash and cash equivalents </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>61</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(698 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>759 </FONT> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Cash and cash equivalents at beginning of period </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>688</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>3,063 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(2,375 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Cash and cash equivalents at end of period</FONT></B><font size="2">
		</font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>749</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>2,365 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(1,616 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Consists of: </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="3%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Cash and cash equivalents of continuing operations </FONT> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>748</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>2,356 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>(1,608 </FONT> </TD>
     <TD width="3%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Cash and cash equivalents of discontinued operations </FONT> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>1</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>9 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(8 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="64%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><font size="2"><b>Total</b>
		</font> </TD>
     <TD style="border-left:1px solid #000000; border-bottom:1px solid #000000; border-right-width:1px; border-top-width:1px" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right><B>
		<FONT size=2>749</FONT></B><font size="2"> </font> </TD>
     <TD style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>2,365 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="8%" align=right>
		<FONT size=2>(1,616 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="3%" align=left>
		<FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="8%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px">
		<font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="1%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="1%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="8%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="3%" align=left><font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Other information</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="3%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Cash flow per share </FONT><SUP>
		<FONT size=2>(9)</FONT></SUP><font size="2"> </font> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>$</FONT></B><font size="2">
		</font> </TD>
     <TD width="8%" align=right><B><FONT size=2>0.75</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2>$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2>0.42 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2>$ </FONT> </TD>
     <TD width="8%" align=right><FONT size=2>0.33 </FONT> </TD>
     <TD width="3%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Annualized cash flow yield </FONT><SUP>
		<FONT size=2>(10)</FONT></SUP><font size="2"> </font> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><B><FONT size=2>7.6</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><FONT size=2>8.5 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right><I><FONT size=2>(0.9</FONT></I><font size="2">
		</font> </TD>
     <TD width="3%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><I><FONT size=2>) pts</FONT></I><font size="2">
		</font> </TD></TR>
<TR vAlign=bottom>
     <TD width="64%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Common dividend payout </FONT><SUP>
		<FONT size=2>(11)</FONT></SUP><font size="2"> </font> </TD>
     <TD width="1%" align=right style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>66.9</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>67.5 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>% </FONT> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="8%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><I><FONT size=2>(0.6</FONT></I><font size="2">
		</font> </TD>
     <TD width="3%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><I><FONT size=2>) pts</FONT></I><font size="2">
		</font> </TD></TR></TABLE>&nbsp;<p>&nbsp;</p>


<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 12</font></P>
<HR noShade SIZE=1 color="#000000">




<P align=right><B>BCE Inc.<br>
Consolidated Cash Flow Data &#150; Historical Trend</B></P>
<TABLE border=0 cellPadding=0 width="100%" style="border-collapse: collapse" id="table15">
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>Total </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><I>
		<FONT size=2>($ millions, except where otherwise indicated) (unaudited)</FONT></I><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right><B>
		<FONT size=2>Q1 10</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>2009 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>Q4 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>Q3 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>Q2 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>Q1 09 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Cash flows from operating activities</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Net earnings </FONT> </TD>
     <TD width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B>
		<FONT size=2>637</FONT></B><font size="2"> </font> </TD>
     <TD width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right>
		<FONT size=2>1,738 </FONT> </TD>
     <TD width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right>
		<FONT size=2>376 </FONT> </TD>
     <TD width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;
		</font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right>
		<FONT size=2>584 </FONT> </TD>
     <TD width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp;
		</font> </TD>
     <TD width="6%" align=right>
		<FONT size=2>372 </FONT> </TD>
     <TD width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp;
		</font> </TD>
     <TD width="6%" align=right>
		<FONT size=2>406 </FONT> </TD>
     <TD width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Less: Losses from discontinued operations, net of income taxes and non-controlling interest </FONT> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>(11 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>(1 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>) </FONT> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>(4 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>) </FONT> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>(6 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Earnings from continuing operations </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>637</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>1,749 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>377 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>584 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>376 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>412 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Adjustments to reconcile earnings from continuing operations to cash flows from operating activities </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Depreciation and amortization of intangible assets </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>793</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>3,371 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>904 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>828 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>821 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>818 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Net benefit plans cost </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>28</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>355 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>93 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>86 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>88 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>88 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Restructuring and other </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>29</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>527 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>82 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>191 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>146 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>108 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Gains on investments </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(125</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(49 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(11 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(36 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(2 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Future income taxes </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>24</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>32 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>278 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(228 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(5 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(13 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Non-controlling interest </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>76</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>333 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>79 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>90 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>80 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>84 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Contributions to employee pension plans </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(155</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(1,068 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(785 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(99 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(92 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(92 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Other employee future benefit plan payments </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(24</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(96 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(24 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(25 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(23 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(24 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Payments of restructuring and other </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(94</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(310 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(58 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(70 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(105 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(77 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Operating assets and liabilities </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right><B>
		<FONT size=2>(91</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2>)</FONT></B><font size="2"> </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>40 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>13 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>216 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>188 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(377 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B>
		<FONT size=2>Cash flows from operating activities</FONT></B><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right><B>
		<FONT size=2>1,098</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>4,884 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>948 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>1,537 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>1,474 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>925 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Bell Aliant distributions to BCE </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>73</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>291 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>72 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>73 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>73 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>73 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Capital expenditures </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(526</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(2,854 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(760 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(704 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(800 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(590 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Other investing activities </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(21</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(89 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(11 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(38 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(27 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(13 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Cash dividends paid on preferred shares </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(28</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(107 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(26 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(26 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(27 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(28 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Cash distributions paid by subsidiaries to non-controlling interest </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(92</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(369 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(92 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(93 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(92 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(92 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px">
		<FONT size=2>Bell Aliant Free Cash Flow </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right><B>
		<FONT size=2>41</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(300 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(116 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(100 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(81 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(3 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Free Cash Flow</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>545</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>1,456 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>15 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>649 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>520 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>272 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Bell Aliant undistributed Free Cash Flow </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(114</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>9 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>44 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>27 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>8 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(70 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Business acquisitions </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>9</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(338 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(4 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(313 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(1 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(20 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Business dispositions </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>11 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>1 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>10 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Going-private costs </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(7 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(1 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(6 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Increase in investments </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(53 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(50 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(2 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(1 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Decrease in investments </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>10</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>113 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>58 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>55 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Increase (decrease) in notes payable and bank advances </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>112</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(194 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(39 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(5 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(238 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>88 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Issue of long-term debt </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>1,348 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>1,348 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Repayment of long-term debt </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(56</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(2,539 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(203 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(656 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(1,586 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(94 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Cash dividends paid on common shares </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(310</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(1,201 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(310 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(296 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(301 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(294 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Issue of common shares </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>1</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>2 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>1 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>1 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Repurchase of common shares </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>(125</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>)</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(894 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>- </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(337 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(557 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Other financing activities </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right><B>
		<FONT size=2>(11</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2>)</FONT></B><font size="2"> </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(90 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(11 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(38 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(31 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(10 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right><B>
		<FONT size=2>(484</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left><B>
		<FONT size=2>)</FONT></B><font size="2"> </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(3,833 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(514 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(1,218 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(1,139 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(962 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Cash flows from (used in) continuing operations </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>61</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(2,377 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(499 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(569 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(619 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(690 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Cash flows (used in) from discontinued operations activities </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>-</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(9 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(2 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(2 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>3 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(8 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Cash flows from (used in) discontinued investing activities </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right><B>
		<FONT size=2>-</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>11 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>- </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>(6 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<FONT size=2>) </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>17 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>- </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Net increase (decrease) in cash and cash equivalents </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>61</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(2,375 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(501 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>(577 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(599 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>(698 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>) </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Cash and cash equivalents at beginning of period </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right><B>
		<FONT size=2>688</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>3,063 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>1,189 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>1,766 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>2,365 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>3,063 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Cash and cash equivalents at end of period</FONT></B><font size="2">
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right><B>
		<FONT size=2>749</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>688 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>688 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>1,189 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>1,766 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>2,365 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><FONT size=2>Consists of: </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Cash and cash equivalents of continuing operations </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>748</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>687 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>687 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>1,187 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>1,761 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>2,356 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 36px"><FONT size=2>Cash and cash equivalents of discontinued operations </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right><B>
		<FONT size=2>1</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>1 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>1 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>2 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>5 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>9 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="41%" align=left>
		<p style="text-indent: -12px; margin-left: 24px"><font size="2"><b>Total</b>
		</font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right><B>
		<FONT size=2>749</FONT></B><font size="2"> </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>688 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="1%" align=right>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>688 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>1,189 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>1,766 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid; style: " width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="6%" align=right>
		<FONT size=2>2,365 </FONT> </TD>
     <TD style="BORDER-BOTTOM: #000000 1pt solid" width="2%" align=left>
		<font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="6%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="1%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="6%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="1%" align=right><font size="1">&nbsp;</font></TD>
     <TD width="6%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="1%" align="right"><font size="1">&nbsp;</font></TD>
     <TD width="6%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="6%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="1%"><font size="1">&nbsp;</font></TD>
     <TD width="6%" align=left><font size="1">&nbsp;</font></TD>
     <TD width="2%" align=left><font size="1">&nbsp;</font></TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><B><FONT size=2>Other information</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD width="6%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
		<font size="2">&nbsp;</font></TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
		<font size="2">&nbsp;</font></TD>
     <TD width="1%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Cash flow per share </FONT> </TD>
     <TD width="1%" align=right><B><FONT size=2>$</FONT></B><font size="2">
		</font> </TD>
     <TD width="6%" align=right><B><FONT size=2>0.75</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2>$ </FONT> </TD>
     <TD width="6%" align=right><FONT size=2>2.63 </FONT> </TD>
     <TD width="2%" align=left><font size="2">&nbsp; </font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><FONT size=2>$ </FONT> </TD>
     <TD width="6%" align=right><FONT size=2>0.25 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>&nbsp;</FONT></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;$</font></TD>
     <TD width="6%" align=right><FONT size=2>1.08 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>&nbsp;</FONT></TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; $</font></TD>
     <TD width="6%" align=right><FONT size=2>0.88 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>&nbsp;</FONT></TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; $</font></TD>
     <TD width="6%" align=right><FONT size=2>0.42 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><font size="2">&nbsp; </font> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom-width: 1px">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Annualized cash flow yield </FONT> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><B><FONT size=2>7.6</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>6.5 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>6.5 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="1%" align="right"><font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right><FONT size=2>10.3 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>8.3 </FONT> </TD>
     <TD width="2%" align=left><FONT size=2>% </FONT> </TD>
     <TD width="1%"><font size="2">&nbsp;</font></TD>
     <TD width="1%"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right><FONT size=2>8.5 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom-width: 1px"><FONT size=2>% </FONT> </TD></TR>
<TR vAlign=bottom>
     <TD width="41%" align=left style="border-left: 1px solid #000000; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
		<p style="text-indent: -12px; margin-left: 12px"><FONT size=2>Common dividend payout </FONT> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>66.9</FONT></B><font size="2">
		</font> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><B><FONT size=2>%</FONT></B><font size="2">
		</font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>63.2 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>% </FONT> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="1%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>79.4 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>% </FONT> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%" align="right">
		<font size="2">&nbsp;</font></TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>48.2 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>% </FONT> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>66.4 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>% </FONT> </TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp;</font></TD>
     <TD style="border-bottom:1px solid #000000; style: ; border-left-width:1px; border-right-width:1px; border-top-width:1px" width="1%">
		<font size="2">&nbsp; </font> </TD>
     <TD width="6%" align=right style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>67.5 </FONT> </TD>
     <TD width="2%" align=left style="border-left-width: 1px; border-right: 1px solid #000000; border-top-width: 1px; border-bottom: 1px solid #000000"><FONT size=2>% </FONT> </TD></TR></TABLE>
<font size="2"><BR>
</font>
<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 13</font></P>
<HR noShade SIZE=1 color="#000000">




<P align="right">
<B>Accompanying Notes </B></P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table16">
	<tr>
		<td width="3%" valign="top"><font size="2">(1)</font></td>
		<td width="97%" valign="top">
		<P align="left">
<font size="2">Throughout this report,<I> </I>BCE means BCE Inc., its subsidiaries and joint ventures; Bell means our Bell Wireline and Bell Wireless segments on
an aggregate basis; and Bell Aliant means Bell Aliant Regional Communications Income Fund and its subsidiaries.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">(2)</font></td>
		<td width="97%" valign="top">
<P align="left">
<font size="2">We report our results of operations in three segments: Bell Wireline,
Bell Wireless and Bell Aliant. Our reporting structure reflects how we manage our business and how we classify our operations for planning and measuring performance. Accordingly, we operate and manage
our reportable segments as strategic business units organized by
products and services.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">(3)</font></td>
		<td width="97%" valign="top">
<P align="left">
<B><font size="2">Non-GAAP Financial Measures<br>
<br>
EBITDA</font></B><font size="2"> <br>
The term EBITDA (earnings before interest, taxes, depreciation and
amortization of intangible assets) does not have any standardized meaning according to
Canadian generally accepted accounting principles (GAAP). It is therefore unlikely to be comparable to similar measures presented by other companies.
<br>
<br>
We define EBITDA as operating revenues less cost of revenue, selling, general and administrative expenses and net benefit plans costs, meaning it represents operating income
before depreciation, amortization of intangible assets and restructuring and other.<br>
<br>
We use EBITDA, among other measures, to assess the operating performance of our ongoing businesses without the effects of depreciation, amortization of
intangible assets and restructuring and other. We exclude these items because they affect the comparability of our financial results and could potentially distort the analysis of trends in business performance. We exclude
depreciation and amortization of intangible assets because it
largely depends on the accounting methods and assumptions a company
uses, as well as non-operating factors, such as the historical cost of capital assets.
Excluding restructuring and other does not imply they are non-recurring.<br>
<br>
EBITDA allows us to compare our operating performance on a consistent
basis. We believe that certain investors and analysts use
EBITDA to measure a company&#146;s ability to service debt and to meet other payment obligations, or as a common measurement to value companies in the telecommunications industry.<br>
<br>
The most comparable Canadian GAAP financial measure is operating income.</font></P>
<P align="left">
<B><font size="2">Adjusted earnings per share (EPS)</font></B><font size="2"><br>
The term adjusted EPS does not have any standardized meaning according to Canadian GAAP.
It is therefore unlikely to be comparable to similar measures presented by other companies.<br>
<br>
We define adjusted EPS as EPS before restructuring and other and net losses (gains) on investments.<br>
&nbsp;</font></P></td>
	</tr>
</table>





<P align="left">
&nbsp;</P>
<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 14</font></P>
<HR noShade SIZE=1 color="#000000">




<P align="right">
<B>Accompanying Notes </B></P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table17">
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="97%" valign="top">
		<P align="left">
<font size="2">We use adjusted EPS among other measures, to assess the operating performance of our ongoing businesses without the effects of after-tax restructuring and other and net losses (gains) on investments. We exclude
these items because they affect the comparability of our financial results and could potentially distort the analysis of trends in business performance. Excluding
these items does not imply they are non-recurring.<br>
<br>
The most comparable Canadian GAAP financial measure is EPS.</font><B><font size="2"><br>
<br>
FREE CASH FLOW</font></B><font size="2"> <br>
The term free cash flow does not have any standardized meaning according to Canadian GAAP. It is therefore unlikely to be comparable to similar measures presented by other companies.<br>
<br>
We define free cash flow as cash from operating activities and distributions received from Bell Aliant less capital
expenditures, preferred share dividends, distributions paid by subsidiaries to non-controlling interest, other investing activities and Bell Aliant free cash flow.<br>
<br>
We consider free cash flow to be an important indicator of the
financial strength and performance of our business because it shows how much cash is available to repay debt and to reinvest in
our company. We present free cash flow on a consistent basis from period to period, which allows us to compare our financial performance on a consistent
basis.<br>
<br>
We believe that certain investors and analysts use free cash flow when
valuing a business and its underlying assets.<br>
<br>
The most comparable Canadian GAAP financial measure is cash from operating activities.</font><br>
&nbsp;</P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">(4)</font></td>
		<td width="97%" valign="top">
<P align="left">
<font size="2">EBITDA margin is calculated as follows:<br>
<br>
<u>EBITDA</u></font><br>
<font size="2">Operating revenues<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">(5)</font></td>
		<td width="97%" valign="top">
<P align="left">
<font size="2">Capital Intensity is calculated as follows:<br>
<br>
<u>Capital expenditures</u><br>
Operating revenues<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">(6)</font></td>
		<td width="97%" valign="top">
<P align="left">
<font size="2">Average revenue per unit (ARPU) represents the measurement of the
average revenue generated by each unit, expressed as a rate per month for the year.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">(7)</font></td>
		<td width="97%" valign="top">
<P align="left">
<font size="2">Churn is the rate at which existing subscribers cancel their services. Churn is calculated as the number of subscribers disconnected divided by the average
subscriber base.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">(8)</font></td>
		<td width="97%" valign="top">
<P align="left">
<font size="2">Cost of acquisition (COA) is also referred to as subscriber
acquisition costs. This measure is expressed per gross activation. It includes costs associated with acquiring a customer
such as hardware subsidies, marketing and distribution costs.</font></P></td>
	</tr>
</table>





<P align="left">
&nbsp;</P>
<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 15</font></P>
<HR noShade SIZE=1 color="#000000">




<P align="right">
<B>Accompanying Notes </B></P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table18">
	<tr>
		<td width="3%" valign="top"><font size="2">(9)</font></td>
		<td width="97%" valign="top">
		<P align="left">
<font size="2">Cash flow per share is calculated as follows:<br>
<br>
<u>Cash flow from operating activities less capital expenditures</u><br>
Average number of common shares outstanding<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">(10)</font></td>
		<td width="97%" valign="top">
<P align="left">
<font size="2">Annualized cash flow yield is calculated as follows:<br>
<br>
<u>Trailing 12 month free cash flow</u> <br>
Number of common shares outstanding at end of period multiplied
by share price at end of period<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">(11)</font></td>
		<td width="97%" valign="top">
<P align="left">
<font size="2">Common dividend payout is calculated as follows:<br>
<br>
<u>Dividends per common share</u><br>
Adjusted EPS</font></P></td>
	</tr>
</table>




<p align="left" style="margin-bottom: 0">&nbsp;</p>
<P align=right style="margin-bottom: 0"><font size="1" face="Times New Roman">BCE Inc. Supplementary
	Financial Information &#150; First Quarter 2010&nbsp; Page 16</font></P>
<HR noShade SIZE=1 color="#000000">




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<DOCUMENT>
<TYPE>EX-99.4
<SEQUENCE>5
<FILENAME>ceo_cfoq110.htm
<DESCRIPTION>CEO/CFO CERTIFICATIONS
<TEXT>

<HTML>
<HEAD>
   <TITLE>CEO/CFO Certifications</TITLE>
     <meta equiv="Content-Type" content="text/html; charset=windows-1252">
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<font size="2"></font>





<p align="right"><font size="2" face="Arial">EXHIBIT 99.4</font></p>
<P align="left">
<img border="0" src="bce_colourlogo.jpg" width="116" height="58"></P>
<P align="center">
<B>Form 52-109F2 &#150; Certification of Interim Filings&nbsp;&#150; Full Certificate </B></P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table1">
	<tr>
		<td width="100%" valign="top" colspan="4">
		<P align="left">
<FONT size="2">I, George A. Cope, President and Chief Executive Officer of BCE Inc., certify the following:<br>
&nbsp;</FONT></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">
<font size="2">1.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Review: </I></B>I have reviewed the interim financial statements and interim MD&amp;A (together, the <B>&#147;interim
filings&#148;</B>) of BCE Inc. (the <B>&#147;issuer&#148;</B>) for the interim period ended March 31, 2010.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">
<font size="2">2.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>No misrepresentations: </I></B>Based on my knowledge, having exercised reasonable diligence, the interim filings do not contain any untrue statement of a material fact
or omit to state a material fact required to be stated or that is necessary to make a statement not misleading in light of the circumstances under which it was made, with respect to the period covered by the interim filings.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">
<font size="2">3.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Fair presentation: </I></B>Based on my knowledge, having exercised reasonable diligence, the interim financial statements together with the other financial information
included in the interim filings fairly present in all material respects the financial condition, results of operations and cash flows of the issuer, as of the date of and for the periods presented in the interim filings.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">
<font size="2">4.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Responsibility: </I></B>The issuer&#146;s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures
(DC&amp;P) and internal control over financial reporting (ICFR), as those terms are defined in National Instrument 52-109 <I>Certification of Disclosure in Issuers&#146; Annual and Interim Filings</I>, for the issuer.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">
<font size="2">5.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Design: </I></B>Subject to the limitations, if any, described in paragraphs 5.2 and 5.3, the issuer&#146;s other certifying officer(s) and I have, as at the end of the
period covered by the interim filings<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top">
<FONT size="2">a.</FONT></td>
		<td width="94%" valign="top" colspan="2">
<P align="left">
<FONT size="2">designed DC&amp;P, or caused it to be designed under our supervision, to provide reasonable assurance that
<br>
&nbsp;</FONT></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top"><FONT size="2">i.</FONT></td>
		<td width="91%" valign="top">
		<P align="left">
<FONT size="2">material information relating to the issuer is made known to us by others, particularly during the period in which
the interim filings are being prepared; and <br>
&nbsp;</FONT></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top"><FONT size="2">ii.</FONT></td>
		<td width="91%" valign="top">
		<P align="left">
<FONT size="2">information required to be disclosed by the issuer in its annual filings, interim filings or other reports filed or submitted by it under securities legislation is recorded, processed, summarized and
reported within the time periods specified in securities legislation; and <br>
&nbsp;</FONT></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top"><FONT size="2">b.</FONT></td>
		<td width="94%" valign="top" colspan="2">
		<P align="left">
<FONT size="2">designed ICFR, or caused it 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 the issuer&#146;s GAAP.<br>
&nbsp;</FONT></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">
<font size="2">5.1</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Control framework: </I></B>The control framework the issuer&#146;s other certifying officer(s) and I used to design the issuer&#146;s ICFR is the <I>Internal Control-Integrated Framework </I>issued by the Committee of Sponsoring Organizations of the Treadway Commission (COSO).<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">
<font size="2">5.2</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>ICFR &#150; material weakness relating to design: </I></B>N/A</font></P>
		</td>
	</tr>
</table>

<P align="center" style="margin-bottom: 0">
<font size="2">1</font></P><hr color="#000000" size="1">
<P align="left">
&nbsp;</P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table2">
	<tr>
		<td width="3%" valign="top"><font size="2">5.3</font></td>
		<td width="97%" valign="top" colspan="3">
		<P align="left">
<font size="2"><B><I>Limitation on scope of design: </I></B>The issuer has disclosed in its interim MD&amp;A<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top">
<FONT size="2">a.</FONT></td>
		<td width="94%" valign="top" colspan="2"><FONT size="2">the fact that the issuer&#146;s other certifying officer(s) and I have limited the scope of our design of DC&amp;P and ICFR to exclude controls, policies and procedures of<br>
&nbsp;</FONT></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top">
<font size="2">iii.</font></td>
		<td width="91%" valign="top">
<P align="left">
<font size="2">a business that the issuer acquired not more than 365 days before
the last day of the period covered by the interim filings; and <br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top"><font size="2">b.</font></td>
		<td width="94%" valign="top" colspan="2"><font size="2">summary
		financial information about the proportionately consolidated entity,
		variable interest entity or business that the issuer acquired that has
		been proportionately consolidated or consolidated in the issuer&#146;s
		financial statements.<br>
&nbsp;</font></td>
	</tr>
	<tr>
		<td width="3%" valign="top">
<font size="2">6.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Reporting changes in ICFR:</I></B> The issuer has disclosed in its interim MD&amp;A any change in the issuer&#146;s ICFR that occurred during the period beginning on
January 1, 2010 and ended on March 31, 2010 that has materially affected, or is reasonably likely to materially affect, the issuer&#146;s ICFR.
</font></P></td>
	</tr>
</table>
<P align="left">
&nbsp;</P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table3">
	<tr>
		<td width="50%" valign="top">
<P align="left">
<FONT size="2">Dated: May 6, 2010</FONT></P></td>
		<td width="3%" valign="top">
<font size="2">By: </font></td>
		<td width="47%" valign="top" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
<P align="left">
<font size="2"><I>(signed) George A. Cope</I></font></P></td>
	</tr>
	<tr>
		<td width="50%" valign="top">&nbsp;</td>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="47%" valign="top"><font size="2">George A. Cope<BR>
President and Chief Executive Officer</font></td>
	</tr>
</table>

<P align="center" style="margin-bottom: 0">
&nbsp;</P>
<P align="center" style="margin-bottom: 0">
<font size="2">2</font></P><hr color="#000000" size="1">
<p align="left" style="margin-bottom: 0">
<img border="0" src="bce_colourlogo.jpg" width="116" height="58"></p>



<font size="2"></font>

<P align="center">
<B>Form 52-109F2 &#150; Certification of Interim Filings &#150; Full Certificate </B></P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table4">
	<tr>
		<td width="100%" valign="top" colspan="4">
		<P align="left">
<font size="2">I, Siim A. Vanaselja, Executive Vice-President and Chief Financial Officer of BCE Inc., certify the following:<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">1.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Review: </I></B>I have reviewed the interim financial statements and interim MD&amp;A (together, the <B>&#147;interim
filings&#148;</B>) of BCE Inc. (the <B>&#147;issuer&#148;</B>) for the interim period ended March 31, 2010.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">2.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>No misrepresentations: </I></B>Based on my knowledge, having exercised reasonable diligence, the interim filings do not contain any untrue statement of a material fact
or omit to state a material fact required to be stated or that is necessary to make a statement not misleading in light of the circumstances under which it was made, with respect to the period covered by the interim filings.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">3.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Fair presentation: </I></B>Based on my knowledge, having exercised reasonable diligence, the interim financial statements together with the other financial information
included in the interim filings fairly present in all material respects the financial condition, results of operations and cash flows of the issuer, as of the date of and for the periods presented in the interim filings.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">4.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Responsibility: </I></B>The issuer&#146;s other certifying officer(s) and I are responsible for establishing and maintaining disclosure controls and procedures
(DC&amp;P) and internal control over financial reporting (ICFR), as those terms are defined in National Instrument 52-109 <I>Certification of Disclosure in Issuers&#146; Annual and Interim Filings</I>, for the issuer.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">5.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Design: </I></B>Subject to the limitations, if any, described in paragraphs 5.2 and 5.3, the issuer&#146;s other certifying officer(s) and I have, as at the end of the
period covered by the interim filings<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top"><font size="2">a.</font></td>
		<td width="94%" valign="top" colspan="2">
<P align="left">
<font size="2">designed DC&amp;P, or caused it to be designed under our supervision, to provide reasonable assurance that
<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top"><font size="2">i.</font></td>
		<td width="91%" valign="top">
		<P align="left">
<font size="2">material information relating to the issuer is made known to us by others, particularly during the period in which
the interim filings are being prepared; and <br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top"><font size="2">ii.</font></td>
		<td width="91%" valign="top">
		<P align="left">
<font size="2">information required to be disclosed by the issuer in its annual filings, interim filings or other reports filed or submitted by it under securities legislation is recorded, processed, summarized and
reported within the time periods specified in securities legislation; and <br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top"><font size="2">b.</font></td>
		<td width="94%" valign="top" colspan="2">
		<P align="left">
<font size="2">designed ICFR, or caused it 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 the issuer&#146;s GAAP.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">5.1</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Control framework: </I></B>The control framework the issuer&#146;s other certifying officer(s) and I used to design the issuer&#146;s ICFR is the <I>Internal Control-Integrated Framework </I>issued by the Committee of Sponsoring Organizations of the Treadway Commission (COSO).<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2">5.2 <B><I>ICFR &#150; material weakness relating to design: </I></B>N/A</font></P>
		</td>
	</tr>
</table>

<P align="center" style="margin-bottom: 0">
<font size="2">1</font></P><hr color="#000000" size="1">
<P align="left">
&nbsp;</P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table5">
	<tr>
		<td width="3%" valign="top"><font size="2">5.3</font></td>
		<td width="97%" valign="top" colspan="3">

<P align="left">
<font size="2"><B><I>Limitation on scope of design: </I></B>The issuer has disclosed in its interim MD&amp;A<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top"><font size="2">a.</font></td>
		<td width="94%" valign="top" colspan="2">
<P align="left">
<font size="2">the fact that the issuer&#146;s other certifying officer(s) and I have limited the scope of our design of DC&amp;P and ICFR to exclude controls, policies and procedures of<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top"><font size="2">iii.</font></td>
		<td width="91%" valign="top">
<P align="left">
<font size="2">a business that the issuer acquired not more than 365 days before the last day of the period covered by the interim filings; and
<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="3%" valign="top"><font size="2">b.</font></td>
		<td width="94%" valign="top" colspan="2">
		<P align="left">
<font size="2">summary financial information about the proportionately
consolidated entity, variable interest entity or business that the issuer acquired that has been proportionately consolidated or consolidated in the issuer&#146;s financial statements.<br>
&nbsp;</font></P></td>
	</tr>
	<tr>
		<td width="3%" valign="top"><font size="2">6.</font></td>
		<td width="97%" valign="top" colspan="3">
<P align="left">
<font size="2"><B><I>Reporting changes in ICFR:</I></B> The issuer has disclosed in its interim MD&amp;A any change in the issuer&#146;s ICFR that occurred during the period beginning on
January 1, 2010 and ended on March 31, 2010 that has materially affected, or is reasonably likely to materially affect, the issuer&#146;s ICFR.
</font></P></td>
	</tr>
</table>




<font size="2"></font>

<P align="left">
&nbsp;</P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table6">
	<tr>
		<td width="50%" valign="top">
<P align="left">
<FONT size="2">Dated: May 6, 2010</FONT></P></td>
		<td width="3%" valign="top">
<font size="2">By: </font></td>
		<td width="47%" valign="top" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
<P align="left">
<font size="2"><I>(signed) Siim A. Vanaselja</I></font></P></td>
	</tr>
	<tr>
		<td width="50%" valign="top">&nbsp;</td>
		<td width="3%" valign="top">&nbsp;</td>
		<td width="47%" valign="top"><font size="2">Siim A. Vanaselja<B> </B><BR>
		Executive Vice-President and Chief Financial Officer</font></td>
	</tr>
</table>
<p>&nbsp;</p>
<P align="center" style="margin-bottom: 0">
<font size="2">2</font></P><hr color="#000000" size="1">


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<DOCUMENT>
<TYPE>EX-99.5
<SEQUENCE>6
<FILENAME>newsrelease_q110.htm
<DESCRIPTION>NEWS RELEASE
<TEXT>

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   <TITLE>News Release</TITLE>
     <meta equiv="Content-Type" content="text/html; charset=windows-1252">
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<font size="2"></font>

<p align="right"><font size="2" face="Arial">EXHIBIT 99.5</font></p>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table1">
	<tr>
		<td width="50%">
		<img border="0" src="press_1.jpg" width="163" height="92"></td>
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		<p align="right">
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<P align="left">
<font face="Arial">For Immediate Release </font></P>
<P align="left">
<I><font size="2" face="Arial">This news release contains forward-looking statements. For a description of the related risk factors and assumptions please see the section entitled &#147;Caution Concerning Forward-Looking Statements&#148; later in this
release</font></I><font size="2"><I><FONT face="Arial">.</FONT></I></font><B><I><font size="2" face="Arial">
</font></I></B></P>
<P align="center">
<B><FONT face="Arial">BCE&nbsp;reports 2010 first quarter results</FONT></B></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0"><B>
	<FONT face="Arial" size="2">Net earnings applicable to common shares up 61.3% to &#36;608&nbsp;million
	</FONT></B></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0"><B>
	<font size="2" face="Arial">Cash flows from operating activities up 18.7%; free cash
flow</font></B><font size="2"><B><SUP><FONT face="Arial">(1)</FONT></SUP></B></font><B><font size="2" face="Arial"> doubles</font></B></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0"><B>
	<font size="2" face="Arial">Bell&nbsp;revenues grow 3.8%; operating income grows 21.3%; EBITDA</font></B><font size="2"><B><SUP><FONT face="Arial">(2)</FONT></SUP></B></font><B><font size="2" face="Arial"> grows 2.0%
	</font></B></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0"><B>
	<font size="2" face="Arial">Record Q1&nbsp;wireless gross activations; postpaid net activations up more than 100%
	</font></B></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0"><B>
	<font size="2" face="Arial">Bell&nbsp;Wireless operating revenues up 7.0% </font>
	</B></P></li>
</ul>
<P align="left">
<FONT face="Arial" size="2">MONTR&Eacute;AL, May 6, 2010 &#150; BCE&nbsp;Inc. (TSX, NYSE: BCE),&nbsp;Canada&#146;s largest communications company, today reported BCE&nbsp;and Bell&nbsp;results for the first quarter of 2010. </FONT></P>
<P align="left">
<FONT face="Arial" size="2">BCE&nbsp;reported improved financial performance with net earnings applicable to common shares growing by 61.3% to &#36;608&nbsp;million, cash flows from operating activities growing by 18.7% to &#36;1,098&nbsp;million and free cash flow more
than doubling year over year to &#36;545&nbsp;million. In addition, Bell&nbsp;had revenue growth of 3.8%, including revenue from The Source and Virgin Mobile&nbsp;Canada (Virgin); EBITDA growth of 2.0%; Bell&nbsp;Wireless revenue growth of 7.0%; record Q1&nbsp;wireless
gross subscriber activations of 428,834 and postpaid net activations of 81,212; and solid TV and high-speed Internet net activations of 19,889 and 10,467 respectively. </FONT></P>
<P align="left">
<FONT face="Arial" size="2">These results demonstrate continued progress in the execution of Bell&#146;s 5 Strategic Imperatives &#150; Improve Customer Service, Accelerate Wireless, Leverage Wireline Momentum, Invest in Broadband Networks and Services, and
Achieve a Competitive Cost Structure. </FONT></P>
<P align="left">
<FONT face="Arial" size="2">&#147;The Bell&nbsp;team made clear progress in the execution of all our strategic imperatives in Q1, delivering improved operating momentum and financial performance comfortably in line with our 2010 guidance,&#148; said George Cope,
President and CEO of BCE&nbsp;and Bell&nbsp;Canada. &#147;Our strong wireless revenue growth, wireless market share gains, and solid TV and Internet subscriber growth reflect Bell&#146;s enhanced service execution and significant investments in broadband
network expansion &#150; including our world-leading HSPA+ wireless network and multiple new high-speed fibre initiatives.&#148; </FONT></P>
<P align="left">
<FONT face="Arial" size="2">Bell&#146;s role as exclusive telecommunications provider to the Vancouver 2010 Winter Olympic and Paralympic Games in the quarter was an ideal showcase for Bell&#146;s leading enterprise-scale broadband capabilities, said Mr.
Cope: &#147;Bell&nbsp;delivered Vancouver 2010 to&nbsp;Canada and the world with the biggest and broadest communications solution in Olympic history. We&#146;re proud of the flawless performance of our team and of our broadband wireless and wireline networks
throughout&nbsp;Canada&#146;s golden Games.&#148; </FONT></P>
<P align="left">
<FONT face="Arial" size="2">&#147;With our financial performance this quarter we have delivered a strong start to the year, highlighted by increased earnings growth and free cash flow that doubled year over year,&#148; said Siim Vanaselja, Chief Financial
Officer of BCE&nbsp;and Bell&nbsp;Canada. &#147;With a substantial cash balance of &#36;748&nbsp;million at the end of the quarter and significant ongoing cash generation from our operations, we maintain a healthy balance sheet and liquidity position. This
provides a strong </FONT></P>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">1</font></P>

<HR noshade size=1 color="#000000">




<P align="left">
<FONT face="Arial" size="2">foundation to grow our business and execute our capital markets strategy to return increasing value to BCE&nbsp;shareholders through dividends and share buybacks.&#148; </FONT></P>
<P align="left">
<B><FONT face="Arial">Capital markets strategy </FONT></B>
<FONT face="Arial" size="2"><br>
The 7% common share dividend increase to &#36;1.74 per common share for 2010 announced by BCE&nbsp;last December was implemented this quarter when shareholders of record on March 15, 2010, received &#36;0.435 per common share on April
15, 2010.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">As of May 5, 2010, BCE&nbsp;has repurchased 8.2&nbsp;million common shares under its 2010 normal course issuer bid (NCIB) program at a total cost of &#36;240&nbsp;million. The common shares repurchased to date include the 4&nbsp;million common shares
that BCE&nbsp;announced on March 31, 2010 it would purchase pursuant to a private agreement with an arm&#146;s-length third-party seller. </FONT></P>
<P align="left">
<FONT face="Arial" size="2">In April, Bell&nbsp;repaid at maturity all of its outstanding &#36;125&nbsp;million principal amount of 11.45% Series ED Debentures, due April 15, 2010. Looking forward to the rest of 2010, BCE&nbsp;plans to complete its NCIB program and to
repay all of Bell&#146;s outstanding 9.5% US &#36;200&nbsp;million Series ES Debentures maturing in October.</FONT></P>
<P align="left">
<B><FONT face="Arial">2010 first quarter results </FONT></B>
<FONT face="Arial" size="2"><br>
Bell&#146;s operating revenues increased by 3.8% this quarter, to &#36;3,758&nbsp;million, as higher revenues from growth in TV and wireless revenues and the acquisitions of The Source and the remaining 50% of the equity of Virgin not
already owned by Bell&nbsp;more than offset declines in local and access and long distance revenues.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Bell&#146;s operating income increased by 21.3% to &#36;787&nbsp;million this quarter due to higher EBITDA, lower restructuring and other costs, and lower depreciation and amortization. Bell&#146;s EBITDA grew by 2.0% to &#36;1,455
million this quarter as higher revenues and cost reductions more than offset the impact of higher wireless subscriber acquisition expense. These results also reflect the unanticipated outcome of an arbitration decision of a contract dispute related
to prior years and the expenses related to Bell&#146;s role as premier national partner and exclusive telecommunications provider to the Vancouver 2010 Winter Games, partially offset by a reversal of a pension valuation allowance that contributed to
lower pension expense. Excluding these impacts, Bell&#146;s EBITDA increased by 4.1% this quarter. </FONT></P>
<P align="left">
<font size="2" face="Arial">Bell&nbsp;Wireless operating revenues increased by 7.0% this quarter with service revenues increasing by 7.1% and product revenues increasing by 4.9%. Bell&nbsp;Wireless operating income and EBITDA decreased by 9.7% and 5.1% respectively
due to the higher level of gross activations and the impact of an arbitration decision of a contract dispute related to prior years. Blended ARPU</font><font size="2"><SUP><FONT face="Arial">(3)</FONT></SUP></font><font size="2" face="Arial"> increased by &#36;0.23 to &#36;50.07
year-over-year as data revenue growth of 40% more than offset voice ARPU declines due to customer migration to lower rate plans and lower usage.
</font></P>
<P align="left">
<FONT face="Arial" size="2">The Bell&nbsp;Wireline segment had NAS losses of 99,829 this quarter, an improvement of 4.2% compared to last year with both residential and business NAS losses showing improvement. TV net activations of 19,889 were 69.4% more than
last year and high-speed Internet net activations of 10,467 were 66.5% more than last year. </FONT></P>
<P align="left">
<FONT face="Arial" size="2">Bell&nbsp;Wireline operating revenues increased by 2.5% as TV and equipment and other revenue growth more than offset declines in local and access and long distance revenues. Equipment and other revenues increased by 78.2% this quarter
as a result of the acquisition of The Source. Bell&nbsp;Wireline operating income increased by 47.9% as a result of higher EBITDA, lower restructuring </FONT></P>

<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">2</font></P>

<HR noshade size=1 color="#000000">




<P align="left">
<FONT face="Arial" size="2">and other costs, and lower depreciation and amortization of intangible assets. Bell&nbsp;Wireline EBITDA increased by 5.1% due to higher revenues, cost reductions and lower pension expense. </FONT></P>
<P align="left">
<FONT face="Arial" size="2">Bell&nbsp;invested &#36;431&nbsp;million of capital this quarter, or 10.6% less than the same period last year. Capital expenditures were higher in 2009 due to the build-out of our new HSPA+ network. Capital expenditures this quarter
supported Bell&#146;s strategic imperatives, including broadband fibre deployment and customer service improvement initiatives. </FONT></P>
<P align="left">
<FONT face="Arial" size="2">BCE&#146;s cash flows from operating activities this quarter were &#36;1,098&nbsp;million, an increase of 18.7% compared to the same period last year due to a decrease in income taxes paid as a result of a voluntary pension
contribution made in 2009 and an increase in working capital. Free cash flow was &#36;545&nbsp;million this quarter, or more than double the &#36;272&nbsp;million in the same period last year, due to the increase in cash flows from operating activities and a
decrease in capital expenditures.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">BCE&#146;s net earnings applicable to common shares this quarter were &#36;608&nbsp;million, or &#36;0.79 per share, compared to &#36;377&nbsp;million, or &#36;0.48 per share, for the same period last year. Earnings growth this quarter
reflects growth in EBITDA, lower restructuring and other costs and net gains on investments of &#36;125&nbsp;million related mainly to the sale of BCE&#146;s stake in satellite services company SkyTerra Communications,&nbsp;Inc. The &#36;113&nbsp;million in
proceeds from the sale of its 22.1&nbsp;million shares in SkyTerra were received by BCE&nbsp;on April 1, 2010, and are therefore not reflected in Q1&#146;s cash balance. </FONT></P>
<P align="left">
<font size="2" face="Arial">BCE&#146;s Adjusted EPS</font><font size="2"><SUP><FONT face="Arial">(4)</FONT></SUP></font><font size="2" face="Arial"> was &#36;0.65 this quarter, an increase of 14.0% compared to last year as a result of higher EBITDA, lower depreciation and amortization,
lower interest expense and the impact of fewer outstanding BCE&nbsp;common shares as a result of share purchases made under the 2008/2009 normal course issuer bid (NCIB) program completed in May 2009 and the 2010 NCIB program.
</font></P>
<P align="left">
<B><FONT face="Arial">Financial Highlights</FONT></B></P>
<TABLE border=0 width=100% style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width=53% style="border-left: 1px solid #000000; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
<FONT size=2 face="Arial">(&#36;&nbsp;millions except per share amounts)</FONT><font size="2">
</font>
	</TD>
	<TD align=right width=14% style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
<FONT size=2 face="Arial">Q1&nbsp;2010</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
<FONT size=2 face="Arial">Q1&nbsp;2009</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-left-width: 1px; border-right: 1px solid #000000; border-top: 1px solid #000000; border-bottom-width: 1px">
<FONT size=2 face="Arial">% change</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">(unaudited)</FONT><font size="2"> </font>
	</TD>
	<TD align=left width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<font size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<font size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<font size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">Bell(i) Operating Revenues</FONT><font size="2">
</font>
	</TD>
	<TD align=right width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;3,758</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;3,622</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">3.8%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">Bell&nbsp;EBITDA</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;1,455</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;1,426</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">2.0%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">Bell&nbsp;Operating Income</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;787</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;649</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">21.3%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">BCE&nbsp;Operating Revenues</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;4,432</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;4,331</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">2.3%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">BCE&nbsp;EBITDA</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;1,784</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;1,760</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">1.4%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">BCE&nbsp;Operating Income</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;962</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;834</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">15.3%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">BCE&nbsp;Cash Flows from Operating Activities</FONT><font size="2">
</font>
	</TD>
	<TD align=right width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;1,098</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;925</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">18.7%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">Free Cash Flow</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;545</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;272</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">n.m.</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">BCE&nbsp;Net Earnings Applicable to Common Shares</FONT><font size="2">
</font>
	</TD>
	<TD align=right width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;608</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;377</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">61.3%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">BCE&nbsp;EPS</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;0.79</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;0.48</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">64.6%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width=53% style="border-left:1px solid #000000; border-right:1px solid #000000; border-bottom:1px solid #000000; border-top-width:1px">
<FONT size=2 face="Arial">BCE&nbsp;Adjusted EPS</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=14% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;0.65</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=13% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">&#36;0.57</FONT><font size="2"> </font>
	</TD>
	<TD align=right width=12% style="border-right:1px solid #000000; border-bottom:1px solid #000000; border-left-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">14.0%</FONT><font size="2"> </font>
	</TD>
</TR>
</TABLE>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table2">
	<tr>
		<td width="2%" valign="top">
<FONT face="Arial" size="2">(i)</FONT></td>
		<td width="98%" valign="top">
<P align="left">
<FONT face="Arial" size="2">Bell&nbsp;includes the Bell&nbsp;Wireless and Bell&nbsp;Wireline segments. </FONT></P>
		</td>
	</tr>
	<tr>
		<td width="100%" colspan="2" valign="top"><FONT face="Arial" size="2">
		n.m.: not meaningful </FONT></td>
	</tr>
</table>
<P align="left">
<FONT face="Arial" size="2">BCE&#146;s operating revenues increased by 2.3% to &#36;4,432&nbsp;million this quarter as higher revenues at Bell&nbsp;were partly offset by lower revenues at Bell&nbsp;Aliant. </FONT></P>
<P align="left">
<FONT face="Arial" size="2">BCE&#146;s operating income increased by 15.3% to &#36;962&nbsp;million this quarter as higher operating income at Bell&nbsp;was partly offset by lower operating income at Bell&nbsp;Aliant. BCE&#146;s EBITDA </FONT></P>

<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">3</font></P>

<HR noshade size=1 color="#000000">




<P align="left">
<FONT face="Arial" size="2">increased by 1.4% to &#36;1,784&nbsp;million this quarter as EBITDA growth at Bell&nbsp;was partly offset by lower EBITDA at Bell&nbsp;Aliant. </FONT></P>
<P align="left">
<B><FONT face="Arial">Bell&nbsp;Wireless Segment </FONT></B>
<FONT face="Arial" size="2"><br>
With the momentum gained through the launch of its new HSPA+ network in November, the availability of Bell&nbsp;Mobility and Virgin Mobile products in The Source stores since January and exclusive new wireless services such as NHL and
live Olympic coverage on mobile TV, Bell&nbsp;Wireless delivered record first quarter gross activations and postpaid net activations. </FONT></P>
<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Total Bell&nbsp;Wireless operating revenues increased by 7.0% to &#36;1,153&nbsp;million this quarter. Service revenues increased by 7.1% to &#36;1,056&nbsp;million due to subscriber growth, the acquisition of the remaining 50% of Virgin and
wireless data revenue growth of 40%. Product revenues increased by 4.9% to &#36;86&nbsp;million due to the acquisition of The Source and an increase in gross activations.</FONT></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">The acquisition of the remaining 50% of Virgin was completed on July 1, 2009. Accordingly, beginning in Q3 2009, wireless ARPU, churn and cost of acquisition reflect 100% of Virgin&#146;s results. For prior periods, these metrics
have been reported on a pro forma basis to reflect 100% of Virgin&#146;s results.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">On a pro forma basis, blended ARPU increased by &#36;0.23 to &#36;50.07. Postpaid ARPU decreased by &#36;0.52 to &#36;61.72 due to customer migration to lower rate plans and lower usage, while prepaid ARPU increased by &#36;0.82
to &#36;16.87 due to the growth of Virgin&#146;s higher ARPU subscriber base.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Bell&nbsp;Wireless operating income decreased by 9.7% to &#36;271&nbsp;million this quarter as a result of lower EBITDA and higher depreciation and amortization of intangible assets. Bell&nbsp;Wireless EBITDA decreased by 5.1% to &#36;412
million this quarter due to higher subscriber acquisition costs associated with Q1&nbsp;record gross activations, an increase in customer upgrades and the impact of the unanticipated outcome of an arbitration decision of a contract dispute related to
prior years. Excluding the impact of the arbitration decision, Bell&nbsp;Wireless EBITDA decreased by 1.2%.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">EBITDA margins on wireless service revenues decreased to 39.0% this quarter from 44.0% last year.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Total gross activations were 428,834 this quarter, or 17.2% higher than last year.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Postpaid net activations were 81,212 this quarter, more than double the postpaid net activations of 35,021 last year. The prepaid client base declined by 25,587 this quarter compared to a decline of 4,726 last year due to
increased churn. Total net activations were 55,625 this quarter, or 83.6% higher than last year.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">By leveraging its new wireless network and distribution capabilities, Bell&nbsp;Wireless captured a significantly higher market share of the postpaid net activations reported by the three major wireless carriers in&nbsp;Canada in Q1&nbsp;2010,
which is estimated to have increased to 42% from 19% in Q1&nbsp;2009. </FONT></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">The Bell&nbsp;Wireless client base reached 6,888,927 at the end of the quarter, an increase of 5.5% compared to last year.</FONT></P>
	</li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">On a pro forma basis, postpaid churn improved to 1.2% from 1.3% last year while prepaid churn increased to 3.4% from 3.0%. Blended churn increased to 1.8% from 1.7% last year.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">On a pro forma basis, cost of acquisition decreased to &#36;362 per gross activation this quarter, or 3.2% lower than last year.
	</FONT></P></li>
</ul>
<P align="left">
<B><FONT face="Arial">Bell&nbsp;Wireline Segment </FONT></B>
<font size="2" face="Arial"><br>
The Bell&nbsp;Wireline segment delivered revenue and EBITDA growth as well as solid gains in TV thanks to Bell&nbsp;TV&#146;s ongoing leadership in High Definition and in high-speed Internet subscribers with the introduction of new
high-speed fibre services such as Bell&nbsp;Fibe</font><font size="2"><SUP><FONT face="Arial">TM</FONT></SUP></font><font size="2" face="Arial"> Internet.
</font></P>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">4</font></P>

<HR noshade size=1 color="#000000">




<ul>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Bell&nbsp;Wireline operating revenues increased by 2.5% to &#36;2,658&nbsp;million this quarter as product revenue growth from the acquisition of The Source and TV revenue growth were partly offset by decreases in local and access and long
distance revenues. </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Bell&nbsp;Wireline operating income increased by 47.9% to &#36;516&nbsp;million this quarter as a result of higher EBITDA and lower restructuring and other costs and lower depreciation and amortization of intangible assets. Bell&nbsp;Wireline
EBITDA increased by 5.1% this quarter, to &#36;1,043&nbsp;million, due to higher revenues, cost reductions and lower pension expense.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Local and access revenues declined by 5.3% to &#36;762&nbsp;million this quarter due to ongoing residential and business NAS erosion.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Total NAS declined by 99,829 this quarter compared to a decline of 104,239 last year. Business NAS declined by 24,211 this quarter compared to a decline of 26,473 last year. Residential NAS declined by 75,618 compared to a decline of 77,766 last year as retail residential NAS losses improved for the tenth consecutive quarter. On a year-over-year basis, total NAS declined by 6.1%.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Long distance revenues declined by 14.4% to &#36;238&nbsp;million this quarter due mainly to ongoing residential and business NAS erosion, pricing pressures in the business market, and the increased adoption of unlimited or large
block of time plans by residential customers. </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Data revenues were unchanged at &#36;912&nbsp;million this quarter as higher IP and broadband connectivity service revenues, residential Internet revenues and an increase in data equipment sales to business customers were offset by
lower legacy data and value added service revenues. </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">High-speed Internet subscribers increased by 10,467 this quarter, or by 66.5% more than in the same period last year. At the end of the quarter, Bell&nbsp;had 2,067,458 high-speed Internet subscribers.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">TV revenues were &#36;428&nbsp;million this quarter, or 10.6% higher than last year reflecting subscriber growth and upgrades to higher-priced programming packages, driven partly by the increased adoption of premium set-top boxes.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Total TV subscribers increased by 19,889 this quarter compared to an increase of 11,743 in the same period last year as a result of higher wholesale activations and increased sales through direct channels. At the end of the
quarter, there were 1,968,766 TV subscribers. </FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">TV subscriber churn remained stable at 1.1%.
	</FONT></P></li>
	<li>
	<P align="left" style="margin-top: 0; margin-bottom: 0">
	<FONT face="Arial" size="2">Equipment and other revenues increased to &#36;237&nbsp;million this quarter from &#36;133&nbsp;million last year due to the impact of The Source acquisition.
	</FONT></P></li>
</ul>
<P align="left">
<B><FONT face="Arial">Bell&nbsp;Aliant Regional Communications </FONT></B>
<FONT face="Arial" size="2"><br>
Bell&nbsp;Aliant&#146;s revenues decreased to &#36;779&nbsp;million this quarter, or by 4.8%, due to lower local and access, long distance, and equipment and other revenues. Bell&nbsp;Aliant&#146;s operating income decreased by 5.4%, to &#36;175
million due to lower revenues partly offset by reductions in operating expenses. </FONT></P>
<P align="left">
<B><FONT face="Arial">Common Share Dividend </FONT></B>
<FONT face="Arial" size="2"><br>
BCE&#146;s Board of Directors has declared a quarterly dividend of &#36;0.435 per common share, payable on July 15, 2010 to shareholders of record at the close of business on June 15, 2010. </FONT></P>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">5</font></P>

<HR noshade size=1 color="#000000">




<P align="left">
<B><FONT face="Arial">Outlook</FONT></B><FONT face="Arial" size="2"><br>
BCE&nbsp;confirmed its financial guidance for 2010 as follows: </FONT></P>
<TABLE border=1 width=100% style="border-collapse: collapse" bordercolor="#000000">
<TR valign="bottom">
	<TD align=left width="50%">
<font size="2">&nbsp;
	</font>
	</TD>
	<TD align=center width="50%">
<B><FONT size=2 face="Arial">Guidance 2010</FONT></B><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="50%">
<B><FONT size=2 face="Arial">Bell&nbsp;</FONT></B><FONT size=2 face="Arial">(i)</FONT><font size="2">
</font>
	</TD>
	<TD align=left width="50%">
<font size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="50%">
<FONT size=2 face="Arial">Revenue Growth</FONT><font size="2"> </font>
	</TD>
	<TD align=center width="50%">
<FONT size=2 face="Arial">1% - 2%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="50%">
<FONT size=2 face="Arial">EBITDA Growth (ii)</FONT><font size="2"> </font>
	</TD>
	<TD align=center width="50%">
<FONT size=2 face="Arial">2% - 4%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="50%">
<FONT size=2 face="Arial">Capital Intensity</FONT><font size="2"> </font>
	</TD>
	<TD align=center width="50%">
<font face="Arial" size="2"><u>&lt;</u>16%</font><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="50%">
<B><FONT size=2 face="Arial">BCE</FONT></B><font size="2"> </font>
	</TD>
	<TD align=left width="50%">
<font size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="50%">
<FONT size=2 face="Arial">Adjusted EPS<br>
</FONT>
<FONT size=1 face="Arial">Adjusted EPS Growth</FONT><font size="1"> </font>
	</TD>
	<TD align=center width="50%">
<FONT size=2 face="Arial">&#36;2.65 - &#36;2.75<br>
</FONT>
<FONT size=1 face="Arial">6% - 10%</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="50%">
<FONT size=2 face="Arial">Free Cash Flow (iii)</FONT><font size="2"> </font>
	</TD>
	<TD align=center width="50%">
<FONT size=2 face="Arial">&#36;2,000 M - &#36;2,200 M</FONT><font size="2">
</font>
	</TD>
</TR>
</TABLE>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table3">
	<tr>
		<td width="2%" valign="top">
<FONT face="Arial" size="2">(i)</FONT></td>
		<td width="98%" valign="top"><FONT face="Arial" size="2">Bell&#146;s 2010 financial guidance for revenue, EBITDA and capital intensity is exclusive of Bell&nbsp;Aliant. </FONT>
		</td>
	</tr>
	<tr>
		<td width="2%" valign="top">
<FONT face="Arial" size="2">(ii)</FONT></td>
		<td width="98%" valign="top"><FONT face="Arial" size="2">The most comparable Canadian GAAP financial measure is operating income. For 2010, Bell&nbsp;expects EBITDA growth of 2% to 4%. This range reflects expected Bell&nbsp;operating income of approximately &#36;2,900&nbsp;million to &#36;3,100
million. </FONT></td>
	</tr>
	<tr>
		<td width="2%" valign="top">
<FONT face="Arial" size="2">(iii)</FONT></td>
		<td width="98%" valign="top"><FONT face="Arial" size="2">The most comparable Canadian GAAP financial measure is cash flows from operating activities. For 2010, BCE&nbsp;expects to generate approximately &#36;2,000&nbsp;million to &#36;2,200&nbsp;million in free cash flow. This amount reflects
expected BCE&nbsp;cash flows from operating activities of approximately &#36;5,400&nbsp;million to &#36;5,600&nbsp;million. </FONT>
		</td>
	</tr>
</table>
<P align="left">
<B><FONT face="Arial">Call with Financial Analysts </FONT></B>
<FONT face="Arial" size="2"><br>
BCE&nbsp;will hold a conference call for financial analysts to discuss its first quarter results on Thursday, May 6 at 8:00 a.m. (Eastern). Media are welcome to participate on a listen-only basis. To participate, please dial (416)
695-6623 or toll-free 1-800-396-7098 shortly before the start of the call. A replay will be available for one week by dialing (416) 695-5800 or 1-800-408-3053 and entering pass code 5047207#. </FONT></P>
<P align="left">
<font size="2" face="Arial">There will also be a live audio webcast of the call available on BCE&#146;s website at:
</font><font size="2"><U><FONT face="Arial">http://www.bce.ca/en/news/eventscalendar/webcasts/2010/20100506/</FONT></U></font><font size="2" face="Arial">. The mp3 file will
be available for download on this page later in the day. </font></P>
<P align="left">
<B><FONT face="Arial">Notes </FONT></B><FONT face="Arial" size="2"><br>
The information contained in this news release is unaudited. </FONT></P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table4">
	<tr>
		<td width="2%" valign="top"><FONT face="Arial" size="2">(1)</FONT></td>
		<td width="98%" valign="top">
		<P align="left">
<FONT face="Arial" size="2">The term free cash flow does not have any standardized meaning according to Canadian GAAP. It is therefore unlikely to be comparable to similar measures presented by other companies. We define free cash flow as cash flows from
operating activities and distributions received from Bell&nbsp;Aliant less capital expenditures, preferred share dividends, dividends/distributions paid by subsidiaries to non-controlling interest, other investing activities and Bell&nbsp;Aliant free cash
flow. We consider free cash flow to be an important indicator of the financial strength and performance of our business because it shows how much cash is available to repay debt and reinvest in our company. We present free cash flow consistently
from period to period, which allows us to compare our financial performance on a consistent basis. We believe that certain investors and analysts use free cash flow to value a business and its underlying assets. The most comparable Canadian GAAP
financial measure is cash flows from operating activities. The following table is a reconciliation of cash flows from operating activities to free cash flow on a consolidated basis. </FONT></P>
		</td>
	</tr>
</table>
<P align="left">
&nbsp;</P>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">6</font></P>

<HR noshade size=1 color="#000000">




<P align="left">
&nbsp;</P>

<div align="right">

<TABLE border=0 width="98%" style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">(&#36;&nbsp;millions)</FONT><font size="2"> </font>
	</TD>
	<TD align=left width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<font size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<font size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<font size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">Q1&nbsp;2010</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">Q1&nbsp;2009</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash flows from operating activities</FONT><font size="2">
</font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">1,098</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">925</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant distributions to BCE</FONT><font size="2">
</font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">73</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">73</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Capital expenditures</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">(526)</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">(590)</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Other investing activities</FONT><font size="2">
</font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">(21)</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">(13)</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Dividends paid on preferred shares</FONT><font size="2">
</font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">(28)</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">(28)</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Cash distributions paid by subsidiaries to</FONT><font size="2">
</font>
<FONT size=2 face="Arial">non-controlling interest</FONT></TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">(92)</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">(92)</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Bell&nbsp;Aliant free cash flow</FONT><font size="2">
</font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">41</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">(3)</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:3px double #000000;">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Free cash flow</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:3px double #000000;">
<FONT size=2 face="Arial">545</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:3px double #000000;">
<FONT size=2 face="Arial">272</FONT><font size="2"> </font>
	</TD>
</TR>
</TABLE></div>
&nbsp;<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table5">
	<tr>
		<td width="2%" valign="top">
<FONT face="Arial" size="2">(2)</FONT></td>
		<td width="98%" valign="top">
<P align="left">
<FONT face="Arial" size="2">The term EBITDA (earnings before interest, taxes, depreciation and amortization of intangible assets) does not have any standardized meaning according to Canadian GAAP. It is therefore unlikely to be comparable to similar
measures presented by other companies. We define EBITDA as operating revenues less cost of revenue and selling, general and administrative expenses, meaning it represents operating income before depreciation, amortization of intangible assets and
restructuring and other. We use EBITDA, among other measures, to assess the operating performance of our ongoing businesses without the effects of depreciation, amortization of intangible assets and restructuring and other. We exclude these items
because they affect the comparability of our financial results and could potentially distort the analysis of trends in business performance. We exclude depreciation and amortization of intangible assets because it largely depends on the accounting
methods and assumptions a company uses, as well as non-operating factors such as the historical cost of capital assets. Excluding restructuring and other does not imply they are non-recurring. EBITDA allows us to compare our operating performance on
a consistent basis. We believe that certain investors and analysts use EBITDA to
measure a company&#146;s ability to service debt and to meet other payment
obligations, or as a common measurement to value companies in the
telecommunications industry. The most comparable Canadian GAAP financial measure
is operating income. The following tables are reconciliations of operating
income to EBITDA on a consolidated basis for BCE, Bell&nbsp;and for our Bell&nbsp;Wireline
and Bell&nbsp;Wireless segments.</FONT></P></td>
	</tr>
</table>
<P align="left" style="margin-top: 0; margin-bottom: 0">
&nbsp;</P>
<div align="right">
<TABLE border=0 width="98%" style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">(&#36;&nbsp;millions)</FONT><font size="2"> </font>
	</TD>
	<TD align=left width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<font size="2">&nbsp;
	</font>
	</TD>
	<TD align=left width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<font size="2">&nbsp;
	</font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">BCE</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">Q1&nbsp;2010</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">Q1&nbsp;2009</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Operating income</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">962</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">834</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Depreciation and amortization of intangible</FONT><font size="2">
</font>
<FONT size=2 face="Arial">assets</FONT></TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">793</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">818</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">29</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">108</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:3px double #000000;">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">EBITDA</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:3px double #000000;">
<FONT size=2 face="Arial">1,784</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:3px double #000000;">
<FONT size=2 face="Arial">1,760</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">&nbsp;</TD>
	<TD align=right width="12%">
&nbsp;</TD>
	<TD align=right width="12%">
&nbsp;</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">BELL</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">Q1&nbsp;2010</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">Q1&nbsp;2009</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Operating income</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">787</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">649</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Depreciation and amortization of intangible</FONT><font size="2">
</font>
<FONT size=2 face="Arial">assets</FONT></TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">651</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">678</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">17</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">99</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:3px double #000000;">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">EBITDA</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:3px double #000000;">
<FONT size=2 face="Arial">1,455</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:3px double #000000;">
<FONT size=2 face="Arial">1,426</FONT><font size="2"> </font>
	</TD>
</TR>
</TABLE></div>
&nbsp;<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">7</font></P>

<HR noshade size=1 color="#000000">




<p>&nbsp;</p>




<font size="2"></font>

<div align="right">

<TABLE border=0 width="98%" style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="76%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">BELL WIRELINE</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
<FONT size=2 face="Arial">Q1&nbsp;2010</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-left-width: 1px; border-right-width: 1px; border-top: 1px solid #000000; border-bottom-width: 1px">
<FONT size=2 face="Arial">Q1&nbsp;2009</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Operating income</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">516</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">349</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Depreciation and amortization of intangible</FONT><font size="2">
</font>
<FONT size=2 face="Arial">assets</FONT></TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">513</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">545</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">14</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">98</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:3px double #000000;">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">EBITDA</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:3px double #000000;">
<FONT size=2 face="Arial">1,043</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:3px double #000000;">
<FONT size=2 face="Arial">992</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
&nbsp;</TD>
	<TD align=right width="12%">
&nbsp;</TD>
	<TD align=right width="12%">
&nbsp;</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">BELL WIRELESS</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">Q1&nbsp;2010</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">Q1&nbsp;2009</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Operating income</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">271</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">300</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Depreciation and amortization of intangible assets</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">138</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%">
<FONT size=2 face="Arial">133</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">3</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">1</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="76%" style="border-bottom:3px double #000000;">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">EBITDA</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:3px double #000000;">
<FONT size=2 face="Arial">412</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="12%" style="border-bottom:3px double #000000;">
<FONT size=2 face="Arial">434</FONT><font size="2"> </font>
	</TD>
</TR>
</TABLE></div>
&nbsp;<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table6">
	<tr>
		<td width="2%" valign="top">
<FONT face="Arial" size="2">(3)</FONT></td>
		<td width="98%" valign="top">
<P align="left">
<FONT face="Arial" size="2">The acquisition of the remaining 50% of the equity of Virgin not already owned by Bell&nbsp;was completed on July 1, 2009. Accordingly, beginning in Q3 2009, wireless ARPU, churn, and cost of acquisition reflect 100% of
Virgin&#146;s results. For prior periods, these metrics reflected our previous 50% ownership but have been reported on a pro forma basis to reflect 100% of Virgin&#146;s results.
<br>
&nbsp;</FONT></P></td>
	</tr>
	<tr>
		<td width="2%" valign="top">
<FONT face="Arial" size="2">(4)</FONT></td>
		<td width="98%" valign="top">
<P align="left">
<FONT face="Arial" size="2">The term Adjusted net earnings does not have any standardized meaning according to Canadian GAAP. It is therefore unlikely to be comparable to similar measures presented by other companies. We define Adjusted net earnings as
net earnings before restructuring and other and net losses (gains) on investments. We use Adjusted net earnings and Adjusted EPS, among other measures, to assess the operating performance of our ongoing businesses without the effects of after-tax
restructuring and other and net losses (gains) on investments. We exclude these items because they affect the comparability of our financial results and could potentially distort the analysis of trends in business performance. Excluding these items
does not imply they are non-recurring. The most comparable Canadian GAAP financial measure is net earnings applicable to common shares. The following table is a reconciliation of net earnings applicable to common shares to Adjusted net earnings on a
consolidated basis and per BCE&nbsp;Inc. common share. </FONT></P></td>
	</tr>
</table>
<P align="left" style="margin-top: 0; margin-bottom: 0">
&nbsp;</P>
<div align="right">
<TABLE border=0 width="98%" style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=right width="91%" colspan=5 style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p align="left">
<FONT size=2 face="Arial">(&#36;&nbsp;millions except per share amounts)</FONT></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="60%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<font size="2">&nbsp;
	</font>
	</TD>
	<TD align=right width="10%" colspan=2 style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p align="center">
<FONT size=2 face="Arial">Q1&nbsp;2010</FONT><font size="2"> </font>
	</TD>
	<TD align=left width="10%" colspan=2 style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p align="center">
<FONT size=2 face="Arial">Q1&nbsp;2009</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="60%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="2">&nbsp;
	</font>
	</TD>
	<TD align=center width="10%">
<font size="2">&nbsp;
	</font>
	</TD>
	<TD align=center width="10%">
<FONT size=2 face="Arial">PER</FONT><font size="2"> </font>
	</TD>
	<TD align=center width="10%">
<font size="2">&nbsp;
	</font>
	</TD>
	<TD align=center width="10%">
<FONT size=2 face="Arial">PER</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="60%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<font size="2">&nbsp;
	</font>
	</TD>
	<TD align=center width="10%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">TOTAL</FONT><font size="2"> &nbsp;
	</font>
	</TD>
	<TD align=center width="10%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">SHARE</FONT><font size="2"> </font>
	</TD>
	<TD align=center width="10%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">TOTAL</FONT><font size="2"> &nbsp;
	</font>
	</TD>
	<TD align=center width="10%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">SHARE</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="60%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net earnings applicable</FONT><font size="2"> </font>
<FONT size=2 face="Arial">to common shares</FONT></TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">608</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.79</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">377</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.48</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="60%">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Restructuring and other</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">17</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.02</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">70</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%">
<FONT size=2 face="Arial">0.09</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="60%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net (gains) losses on</FONT><font size="2"> </font>
<FONT size=2 face="Arial">investments</FONT></TD>
	<TD align=right width="10%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
<FONT size=2 face="Arial">(125)</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
<FONT size=2 face="Arial">(0.16)</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
<FONT size=2 face="Arial">(1)</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
<FONT size=2 face="Arial">0.00</FONT><font size="2"> </font>
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="60%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Adjusted net earnings</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">500</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">0.65</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">446</FONT><font size="2"> </font>
	</TD>
	<TD align=right width="10%" style="border-bottom:1px solid #000000; border-left-width:1px; border-right-width:1px; border-top-width:1px">
<FONT size=2 face="Arial">0.57</FONT><font size="2"> </font>
	</TD>
</TR>
</TABLE></div>
<P align="left">
<B><FONT face="Arial">Caution Concerning Forward-Looking Statements</FONT></B><FONT face="Arial" size="2"><br>
Certain statements made in this news release, including, but not limited to, statements relating to our 2010 financial guidance (including revenues, EBITDA, capital intensity, Adjusted EPS and free cash flow), BCE&#146;s plan to
complete its NCIB program and other statements that are not historical facts, are forward-looking. Forward-looking statements, by their very nature, are subject to inherent risks and uncertainties and are based on several assumptions which give rise
to the </FONT></P>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">8</font></P>

<HR noshade size=1 color="#000000">




<P align="left">
<FONT face="Arial" size="2">possibility that actual results or events could differ materially from our expectations expressed in or implied by such forward-looking statements. As a result, we cannot guarantee that any forward-looking statement will
materialize and you are cautioned not to place undue reliance on these forward-looking statements. The forward-looking statements contained in this news release describe our expectations at May 6, 2010 and, accordingly, are subject to change after
such date. Except as may be required by Canadian securities laws, we do not undertake any obligation to update or revise any forward-looking statements contained in this news release, whether as a result of new information, future events or
otherwise. Except as otherwise indicated by BCE, forward-looking statements do not reflect the potential impact of any non-recurring or other special items or of any dispositions, monetizations, mergers, acquisitions, other business combinations or
other transactions that may be announced or that may occur after May 6, 2010. The financial impact of these transactions and non-recurring and other special items can be complex and depends on the facts particular to each of them. We therefore
cannot describe the expected impact in a meaningful way or in the same way we present known risks affecting our business. Forward-looking statements are provided for the purpose of providing information about management&#146;s current expectations
and plans relating, in particular, to 2010 and allowing investors and others to get a better understanding of our operating environment. Readers are cautioned that such information may not be appropriate for other purposes. </FONT></P>
<P align="left">
<B><FONT face="Arial">Material Assumptions</FONT></B></P>
<P align="left">
<B><I><FONT face="Arial">Economic and Market Assumptions </FONT></I></B>
<FONT face="Arial" size="2"><br>
A number of Canadian economic and market assumptions were made by BCE&nbsp;in preparing its financial guidance and other forward-looking statements for 2010 contained in this news release, including, but not limited to: (i) growth in
Canadian GDP in 2010 based on the estimates of the six major banks in&nbsp;Canada, (ii) consistent with this consensus view, we have assumed a gradual improvement in the Canadian economic environment with momentum beginning in the second half of 2010,
(iii) increased spending and investment by business customers as the economic environment strengthens, (iv) revenues generated by the residential voice telecommunications market in&nbsp;Canada to continue to decrease due, in part, to land line
substitution to competing technologies such as wireless, which is expected to increase in 2010 particularly as a result of aggressive competitive activity by new wireless entrants having purchased AWS spectrum, and VoIP and other factors including
e-mail and instant messaging substitution, (v) current levels of competition to continue for residential and business local voice telephony, as cable operators and other telecom service providers maintain the intensity of their marketing efforts and
continue to leverage their network footprints to pursue market share in our regions, (vi) wireless industry penetration growth in 2010 similar to 2009, and (vii) TV and Internet market growth at levels slightly lower than 2009, given the relatively
high penetration rates and maturity levels for these products.</FONT></P>
<P align="left">
<B><I><FONT face="Arial">Operational Assumptions </FONT></I></B>
<FONT face="Arial" size="2"><br>
Our financial guidance and other forward-looking statements for 2010 are also based on certain internal operational assumptions concerning Bell&nbsp;(excluding Bell&nbsp;Aliant), including, but not limited to: (i) targeted retention and
service bundle offers, customer winbacks and better service execution to maintain residential NAS line losses steady year over year, (ii) the trend, pursuant to which business market demand was adversely affected in 2009 as business clients
curtailed their spending and investment plans, to continue to have a negative impact on demand at least through the first two quarters of 2010, (iii) increased business customer spending, new business formation and higher demand for basic
connectivity and ICT services as the economic environment strengthens to result in a gradual improvement in the performance of our Business Markets unit including business NAS line losses, (iv) the November 2009 launch of our new HSPA/HSPA+ network
to drive increased smartphone penetration and enhance the opportunity </FONT></P>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">9</font></P>

<HR noshade size=1 color="#000000">




<P align="left">
<FONT face="Arial" size="2">for incremental growth in data usage and increased roaming revenues, (v) higher employment levels, increased discretionary spending and the resumption of travel as the economic environment strengthens to result in higher wireless
usage and roaming revenues, (vi) new wireless entrant competition to intensify progressively throughout the course of 2010 as additional service providers come to market, (vii) our wireless revenue growth to be driven by ARPU from new services,
careful price management and a continued disciplined expansion of our subscriber base, (viii) Bell&nbsp;to benefit from ongoing technological improvements by manufacturers in Bell&#146;s handset and device lineup and from faster data speeds that are
allowing clients to optimize the use of Bell&#146;s services, (ix) significant increase in our points of sale due to the launch of Bell&nbsp;Mobility and Virgin Mobile at The Source in January 2010, (x) diligent expense management to moderate the impact
of aggressive discount brand and new entrant pricing, higher retention spending and increased acquisition costs driven by increased smart-phone customer penetration, (xi) wireless EBITDA margin pressure from new entrant competition and increased
subscriber acquisition and retention costs, (xii) wireless ARPU pressure from new entrant competition, (xiii) expense savings, contributing to the maintenance of stable EBITDA margins, to be achieved from renegotiating contracts with all our key IT
vendors and outsource suppliers, the flow-through from labour force reductions in 2009, field workforce productivity improvements, leveraging operational synergies from the integration in 2009 of our business customer-facing units, controlling
network maintenance costs, and reducing traffic that is not on our own network, and (xiv) improved wireline revenues due to revenues from the acquisition of The Source, continued strong growth in Bell&#146;s TV business, and a continued focus on
pricing discipline.</FONT></P>
<P align="left">
<B><I><FONT face="Arial">Financial Assumptions </FONT></I></B>
<FONT face="Arial" size="2"><br>
Our 2010 financial guidance is also based on certain other financial assumptions for 2010 concerning Bell&nbsp;(excluding Bell&nbsp;Aliant) including, but not limited to: (i) Bell&#146;s cash taxes to be approximately &#36;200&nbsp;million, (ii)
Bell&#146;s total net benefit plans cost (pension expense), which is based on a discount rate of 6.4% and a 2009 return on pension plan assets of 15%, to be approximately &#36;130&nbsp;million, (iii) Bell&#146;s retirement benefit plans funding to be
approximately &#36;500&nbsp;million, (iv) Bell&#146;s capital intensity to be less than or equal to 16%, and (v) Bell&nbsp;to continue to invest in fibre deployment to expand its wireline broadband footprint to approximately 3.6&nbsp;million households by the end
of 2010. </FONT></P>
<P align="left">
<FONT face="Arial" size="2">Our 2010 financial guidance is also based on certain financial assumptions for 2010, including, but not limited to: (i) restructuring and other charges in the range of &#36;125&nbsp;million to &#36;175&nbsp;million, (ii) depreciation and
amortization expense slightly lower than 2009, (iii) an effective tax rate of approximately 22%, and a statutory tax rate of approximately 30.6%, (iv) EPS to be positively impacted by the planned repurchase of up to &#36;500&nbsp;million of common shares
under BCE&#146;s normal course issuer bid announced in December 2009, and (v) the permanent repayment of long-term debt maturing in 2010. </FONT></P>
<P align="left">
<FONT face="Arial" size="2">The foregoing assumptions, although considered reasonable by BCE&nbsp;on May 6, 2010, may prove to be inaccurate. Accordingly, our actual results could differ materially from our expectations as set forth in this news release.
</FONT></P>
<P align="left">
<B><FONT face="Arial">Material Risks </FONT></B><FONT face="Arial" size="2"><br>
Important risk factors that could cause our assumptions and estimates to be inaccurate and actual results or events to differ materially from those expressed in or implied by the above-mentioned forward-looking statements,
including our 2010 financial guidance, are listed below. Our ability to meet our 2010 financial guidance essentially depends on our business performance which, in turn, is subject to many risks. Accordingly, readers are cautioned that any of the
following risks could have a material adverse effect on our 2010 financial guidance. These risks </FONT></P>
<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">10</font></P>

<HR noshade size=1 color="#000000">




<P align="left">
<FONT face="Arial" size="2">include, but are not limited to: the intensity of competitive activity, including the increase in wireless competitive activity that is expected to result from Industry&nbsp;Canada&#146;s licensing of AWS spectrum to new wireless
entrants, and the resulting impact on our ability to retain existing, and attract new, customers, and on our pricing strategies and financial results; general economic and financial market conditions, the level of consumer confidence and spending,
and the demand for, and prices of, our products and services; our ability to implement our strategies and plans in order to produce the expected benefits; our ability to continue to implement our cost reduction initiatives and contain capital
intensity while seeking to improve customer service; our ability to respond to technological changes and rapidly offer new products and services; increased contributions to employee benefit plans; events affecting the functionality of, and our
ability to protect, maintain and replace, our networks, information technology systems and software; events affecting the ability of third-party suppliers to provide to us essential products and services; the quality of our network and customer
equipment and the extent to which they may be subject to manufacturing defects; labour disruptions; the potential adverse effects on our Internet and wireless businesses of the significant increase in broadband demand; our ability to raise the
capital we need to implement our business plan, including for BCE&#146;s share buy-back program and dividend payments and to fund capital and other expenditures and generally meet our financial obligations; our ability to discontinue certain
traditional services as necessary to improve capital and operating efficiencies; regulatory initiatives or proceedings, litigation and changes in laws or regulations; launch and in-orbit risks of satellites used by Bell&nbsp;TV; competition from
unregulated U.S. DTH satellite television services sold illegally in&nbsp;Canada and the theft of our satellite television services; BCE&#146;s dependence on the ability of its subsidiaries, joint ventures and other companies in which it has an interest
to pay dividends and make other distributions; there can be no certainty that dividends will be declared by BCE&#146;s board of directors or that BCE&#146;s dividend policy will be maintained; stock market volatility; our ability to maintain
customer service and our networks operational in the event of the occurrence of epidemics, pandemics and other health risks; health concerns about radio frequency emissions from wireless devices; and loss of key employees. </FONT></P>
<P align="left">
<font size="2" face="Arial">For additional information with respect to certain of these and other assumptions and risks, please refer to BCE&#146;s 2009 Annual MD&amp;A dated March 11, 2010 (included in the BCE&nbsp;2009 Annual Report) and BCE&#146;s 2010 First
Quarter MD&amp;A dated May 5, 2010, both filed by BCE&nbsp;with the Canadian securities commissions (available at
</font><font size="2"><U><FONT face="Arial">www.sedar.com</FONT></U><FONT face="Arial">) and with the U.S. Securities and Exchange Commission (available at
</FONT><U><FONT face="Arial">www.sec.gov</FONT></U><FONT face="Arial">). These documents are also available on BCE&#146;s website at </FONT><U><FONT face="Arial">www.bce.ca</FONT></U></font><font size="2" face="Arial">.</font></P>
<P align="left">
<B><FONT face="Arial">About BCE&nbsp;</FONT></B><font size="2" face="Arial"><br>
BCE&nbsp;is&nbsp;Canada&#146;s largest communications company, providing the most comprehensive and innovative suite of communication services to residential and business customers in&nbsp;Canada. Operating under the Bell&nbsp;and Bell&nbsp;Aliant brands, the
Company&#146;s services include telephone services, wireless communications, high-speed Internet, digital television, IP-broadband services and information and communications technology (ICT) services. BCE&nbsp;shares are listed in&nbsp;Canada and the United
States. For corporate information on BCE, please visit </font><font size="2"><U><FONT face="Arial">www.bce.ca</FONT></U><FONT face="Arial">. For Bell&nbsp;product and service information, please visit </FONT><U><FONT face="Arial">www.bell.ca</FONT></U></font><font size="2" face="Arial">.
</font></P>
<P align="center">
<FONT face="Arial" size="2">-30- </FONT></P>
<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table7">
	<tr>
		<td width="50%" valign="top"><B><font size="2" face="Arial">Media inquiries: </font></B><font size="2"><BR>
<FONT face="Arial">Julie Smithers </FONT><BR>
<FONT face="Arial">Bell&nbsp;Media Relations </FONT><BR>
<FONT face="Arial">(514) 391-2007 </FONT><BR>
<U><FONT face="Arial">julie.smithers@bell.ca</FONT></U></font><font size="2" face="Arial">
</font></td>
		<td width="50%" valign="top">
<B><font size="2" face="Arial">Investor inquiries: </font></B><font size="2"><BR>
<FONT face="Arial">Thane Fotopoulos </FONT><BR>
<FONT face="Arial">BCE&nbsp;Investor Relations </FONT><BR>
<FONT face="Arial">(514) 870-4619 </FONT><BR>
<U><FONT face="Arial">thane.fotopoulos@bell.ca</FONT></U></font><font size="2" face="Arial">
</font></td>
	</tr>
</table>
<P align="left">
&nbsp;</P>

<P align="center" style="margin-bottom: 0">
<font face="Arial" size="2">11</font></P>

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</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99.6
<SEQUENCE>7
<FILENAME>selectsumm_q110.htm
<DESCRIPTION>BELL CANADA UNAUDITED SELECTED SUMMARY FINANCIAL INFORMATION
<TEXT>

<HTML>
<HEAD>
   <TITLE>Bell Canada Unaudited Selected Summary Financial Information</TITLE>
</HEAD>

<BODY bgcolor="#ffffff">



<A name="page_1"><font size="2" face="Arial"></font></A>





<p align="right"><font size="2" face="Arial">EXHIBIT 99.6</font></p>
<P align="center">
<FONT face="Arial" size="4">NOTICE OF RELIANCE<br>
SECTION 13.4 OF NATIONAL INSTRUMENT 51-102<br>
CONTINUOUS DISCLOSURE OBLIGATIONS</FONT></P>
<table border="0" width="100%" cellspacing="0" cellpadding="0" id="table1">
	<tr>
		<TD width="3%" valign="top"><font size="2" face="Arial">To:</font></td>
		<td valign="top" width="96%">
		<P align="left">
<FONT face="Arial" size="2">Alberta Securities Commission<br>
British Columbia Securities Commission<br>
Manitoba Securities Commission<br>
Securities Commission, New Brunswick<br>
Securities Commission of Newfoundland and Labrador<br>
Nova Scotia Securities Commission<br>
Ontario Securities Commission<br>
Registrar of Securities, Prince Edward Island<br>
Autorit&#233; des march&#233;s financiers<br>
Saskatchewan Financial Services Commission &#150; Securities Division<br>
Toronto Stock Exchange</FONT></P></td>
	</tr>
</table>
<P align="left">
<FONT face="Arial" size="2">Notice is hereby given that Bell Canada relies on the continuous disclosure documents filed by BCE Inc. pursuant to the exemption from the requirements of National Instrument 51-102 &#150; Continuous Disclosure Obligations
(&#147;NI 51-102&#148;) provided in Section 13.4 of NI 51-102. </FONT></P>
<P align="left">
<FONT face="Arial" size="2">The continuous disclosure documents of BCE Inc. can be found for viewing in electronic format at www.sedar.com.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Attached to this notice and forming part thereof is the consolidating summary financial information for BCE Inc. as required by Section 13.4 of NI 51-102.</FONT></P>
<P align="left">
<FONT face="Arial" size="2">Dated: May 6, 2010</FONT></P>
<div align="right">
	<table border="0" width="50%" cellpadding="0" style="border-collapse: collapse" id="table2">
		<tr>
			<td width="100%" colspan="2" valign="top">
<P align="left">
<FONT face="Arial" size="2">BELL CANADA </FONT></P>
			<P align="left">
&nbsp;</P></td>
		</tr>
		<tr>
			<td width="10%" valign="top"><font size="2" face="Arial">By:</font></td>
			<td width="90%" valign="top" style="border-left-width: 1px; border-right-width: 1px; border-top-width: 1px; border-bottom: 1px solid #000000">
<P align="left">
<font size="2"><I><FONT face="Arial">(signed) Karyn A. Brooks</FONT></I></font></P>
			</td>
		</tr>
		<tr>
			<td width="10%" valign="top"><font face="Arial" size="2">Name:</font></td>
			<td width="90%" valign="top">
			<P align="left">
<font face="Arial" size="2">Karyn A. Brooks</font></P></td>
		</tr>
		<tr>
			<td width="10%" valign="top"><font face="Arial" size="2">Title:</font></td>
			<td width="90%" valign="top">
			<P align="left">
<font face="Arial" size="2">Senior Vice-President and Controller</font></P></td>
		</tr>
	</table>
</div>
<P align="left">
<img border="0" src="bell_logo.jpg" width="101" height="60"></P>

<HR noshade size=1 color="#000000">




<font size="2" face="Arial"></font>

<P align="left">
&nbsp;</P>
<table border="0" width="100%" cellpadding="6" style="border-collapse: collapse" id="table3">
	<tr>
		<td bgcolor="#C0C0C0">
		<P align="left">
<FONT face="Arial" size="4"> Bell Canada</FONT></P></td>
	</tr>
</table>
<P align="left">
<font size="2" face="Arial">UNAUDITED SELECTED SUMMARY FINANCIAL INFORMATION<sup>(1)</sup></font><B><FONT face="Arial" size="2"><br>
For the periods ended March 31, 2010 and 2009</FONT></B><font size="2" face="Arial"><br>
(in millions of Canadian dollars)</font></P>
<P align="left">
<font size="2" face="Arial">BCE Inc. fully and unconditionally guarantees the payment obligations of its 100% owned subsidiary Bell Canada under the public debt issued by Bell Canada. Accordingly, the following summary financial information is provided by Bell Canada in compliance with the requirements of section 13.4 of National Instrument 51-102 (Continuous Disclosure Obligations) providing for an exemption for certain credit support issuers. The tables below
contain selected summary financial information for (i)&nbsp;BCE Inc. (as credit supporter), (ii)
Bell Canada (as credit support issuer) on a consolidated basis, (iii) BCE Inc.&#146;s subsidiaries, other than Bell Canada, on a combined basis, (iv) consolidating adjustments, and (v) BCE Inc. and all of its subsidiaries on a consolidated basis, in each case for the periods indicated. Such summary financial information for BCE Inc. and Bell Canada and all other subsidiaries is intended to provide investors with meaningful and comparable financial information about BCE Inc. and its subsidiaries. This
summary financial information should be read in conjunction with BCE Inc.&#146;s audited
consolidated financial statements for the year ended December 31, 2009 and the unaudited consolidated financial statements for the three months ended March 31, 2010. In 2009, we decided
to sell certain of our businesses and they are now shown as discontinued operations. We have
restated financial information for the previous periods to reflect these decisions.
</font></P>
<P align="left">
<FONT face="Arial" size="2">For the periods ended March 31:</FONT></P>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="10%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=center width="8%" colspan=3 rowspan="2">
<p style="margin-top: 0; margin-bottom: 0">
<FONT size=1 face="Arial">BCE INC.</FONT></p>
<p style="margin-top: -4px; margin-bottom: 0"><FONT size=1 face="Arial">(&#147;CREDIT SUPPORTER&#148;)</FONT><SUP><FONT size=1 face="Arial">(2)</FONT></SUP><font size="1" face="Arial">
</font>
	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width="8%" colspan=3 rowspan="2">
<FONT size=1 face="Arial">BELL CANADA CONSOLIDATED<br>
(&#147;CREDIT SUPPORT ISSUER&#148;) </FONT>
	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width="8%" colspan=3 rowspan="2">
<p style="margin-top: 0; margin-bottom: 0">
<FONT size=1 face="Arial">SUBSIDIARIES OF BCE INC.</FONT></p>
<p style="margin-top: -4px; margin-bottom: 0"><FONT size=1 face="Arial">OTHER THAN BELL CANADA</FONT><SUP><FONT size=1 face="Arial">(3)</FONT></SUP><font size="1" face="Arial">
</font>
	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width="8%" colspan=3 rowspan="2">
<p style="margin-top: 0; margin-bottom: 0">
<FONT size=1 face="Arial">CONSOLIDATING</FONT></p>
<p style="margin-top: -4px; margin-bottom: 0"><FONT size=1 face="Arial">ADJUSTMENTS</FONT><SUP><FONT size=1 face="Arial">(4)</FONT></SUP><font size="1" face="Arial">
</font>
	</TD>
	<TD align=center width=1%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=center width="17%" colspan="3" rowspan="2">
<font size="1" face="Arial">BCE<br>
CONSOLIDATED</font></TD>
	<TD align=center width="1%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width=1%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="1%">
<font size="1">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=21 width="10%" bgcolor="#C0C0C0">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%" bgcolor="#C0C0C0">
<p style="text-indent: -12px; margin-left: 12px">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">2010</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">2009 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">2010</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">2009 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">2010</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width=8% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">2009 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">2010</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">2010</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">2009 </FONT>
	</TD>
	<TD align=right width="1%" bgcolor="#C0C0C0">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=21 width="10%" bgcolor="#C0C0C0">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%" bgcolor="#C0C0C0">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Operating Revenues </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">4,432</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">4,331 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width=8% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">4,432</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">4,331 </FONT>
	</TD>
	<TD align=right width="1%" bgcolor="#C0C0C0">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%" bgcolor="#C0C0C0">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Earnings from Continuing Operations </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">637</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">412 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">499</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">402 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width=8% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">(499</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">(402 </FONT>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">637</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">412 </FONT>
	</TD>
	<TD align=right width="1%" bgcolor="#C0C0C0">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%" bgcolor="#C0C0C0">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Net Earnings </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">637</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">406 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">500</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">395 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">&#150;</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width=8% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">&#150; </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">(500</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">(395 </FONT>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">637</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">406 </FONT>
	</TD>
	<TD align=right width="1%" bgcolor="#C0C0C0">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=21 width="10%" bgcolor="#C0C0C0">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE><font size="2" face="Arial"><BR>
</font>
<TABLE border=0 width=100% cellpadding=0 style="border-collapse: collapse">
<TR valign="bottom">
	<TD align=left width="10%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=center width="8%" colspan=3 rowspan="2">
<p style="margin-top: 0; margin-bottom: 0">
<FONT size=1 face="Arial">BCE INC. </FONT>
	</p>
<p style="margin-top: -4px; margin-bottom: 0">
<FONT size=1 face="Arial">(&#147;CREDIT SUPPORTER&#148;)</FONT><SUP><FONT size=1 face="Arial">(2)</FONT></SUP><font size="1" face="Arial">
</font>
	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width="8%" colspan=3 rowspan="2">
<FONT size=1 face="Arial">BELL CANADA CONSOLIDATED<br>
(&#147;CREDIT SUPPORT ISSUER&#148;) </FONT>
	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width="8%" colspan=3 rowspan="2">
<p style="margin-top: 0; margin-bottom: 0">
<FONT size=1 face="Arial">SUBSIDIARIES OF BCE INC. </FONT>
	</p>
<p style="margin-top: -4px; margin-bottom: 0">
<FONT size=1 face="Arial">OTHER THAN BELL CANADA</FONT><SUP><FONT size=1 face="Arial">(3)</FONT></SUP><font size="1" face="Arial">
</font>
	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width="8%" colspan=3 rowspan="2">
<p style="margin-top: 0; margin-bottom: 0">
<FONT size=1 face="Arial">CONSOLIDATING </FONT>
	</p>
<p style="margin-top: -4px; margin-bottom: 0">
<FONT size=1 face="Arial">ADJUSTMENTS</FONT><SUP><FONT size=1 face="Arial">(4)</FONT></SUP><font size="1" face="Arial">
</font>
	</TD>
	<TD align=center width=1%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=center width="17%" colspan="3" rowspan="2">
<font size="1" face="Arial">BCE<br>
CONSOLIDATED
	</font>
	</TD>
	<TD align=center width="1%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%">
<p style="text-indent: -12px; margin-left: 12px">
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD width="1%" align="center">
<font size="1" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width=1%>
<font size="1" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="1%">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=21 width="10%" bgcolor="#C0C0C0">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%" bgcolor="#C0C0C0">
<p style="text-indent: -12px; margin-left: 12px">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">Mar. 31,</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">Dec. 31, </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">Mar. 31,</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width="8%" bgcolor="#C0C0C0">
<p align="right">
<FONT size=2 face="Arial">Dec. 31, </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">Mar. 31,</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width=8% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">Dec. 31, </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">Mar. 31,</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">Dec. 31, </FONT>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">Mar. 31,</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=center width="8%" bgcolor="#C0C0C0">
<p align="right">
<FONT size=2 face="Arial">Dec. 31, </FONT>
	</TD>
	<TD align=center width="1%" bgcolor="#C0C0C0">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%" bgcolor="#C0C0C0">
<p style="text-indent: -12px; margin-left: 12px">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">2010</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">2009 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">2010</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">2009 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">2010</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width=8% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">2009 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">2010</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">2009 </FONT>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">2010</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">2009 </FONT>
	</TD>
	<TD align=right width="1%" bgcolor="#C0C0C0">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=21 width="10%" bgcolor="#C0C0C0">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%" bgcolor="#C0C0C0">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Current Assets </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">1,867</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">1,697 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">3,654</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">2,931 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">53</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width=8% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">53 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">(2,194</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">(1,397 </FONT>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">3,380</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">3,284 </FONT>
	</TD>
	<TD align=right width="1%" bgcolor="#C0C0C0">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%" bgcolor="#C0C0C0">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Long-Term Assets </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">16,393</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">16,410 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">28,834</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">29,400 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">21</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width=8% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">20 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">(10,667</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">(11,064 </FONT>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">34,581</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">34,766 </FONT>
	</TD>
	<TD align=right width="1%" bgcolor="#C0C0C0">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%" bgcolor="#C0C0C0">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Total Current Liabilities </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">1,083</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">455 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">5,931</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">5,724 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
<B><FONT size=2 face="Arial">&#150;</FONT></B></TD>
	<TD width="1%" align="right" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width=8% bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
<B><FONT size=2 face="Arial">&#150;</FONT></B></TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">(2,188</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">)</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">(1,393 </FONT>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">4,826</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">4,786 </FONT>
	</TD>
	<TD align=right width="1%" bgcolor="#C0C0C0">
<font size="2">&nbsp;</font></TD>
</TR>
<TR valign="bottom">
	<TD align=left width="10%" bgcolor="#C0C0C0">
<p style="text-indent: -12px; margin-left: 12px">
<FONT size=2 face="Arial">Long-Term Liabilities </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">181</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">678 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">14,612</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">14,743 </FONT>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
<B><FONT size=2 face="Arial">&#150;</FONT></B></TD>
	<TD width="1%" align="right" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width=8% bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
<B><FONT size=2 face="Arial">&#150;</FONT></B></TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">316</FONT></B><font size="2" face="Arial"> </font>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;
	</font>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">(180 </FONT>
	</TD>
	<TD align=left width=1% bgcolor="#C0C0C0">
<FONT size=2 face="Arial">) </FONT>
	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<B><FONT size=2 face="Arial">15,109</FONT></B><font size="2" face="Arial">
</font>
	</TD>
	<TD width="1%" bgcolor="#C0C0C0">
<font size="2" face="Arial">&nbsp;	</font>	</TD>
	<TD align=right width="8%" bgcolor="#C0C0C0">
<FONT size=2 face="Arial">15,241 </FONT>
	</TD>
	<TD align=right width="1%" bgcolor="#C0C0C0">
<font size="2">&nbsp;</font></TD>
</TR>
<TR>
	<TD colspan=21 width="10%" bgcolor="#C0C0C0">
<HR noshade size=1 color="#000000">
	</TD>
</TR>
</TABLE>&nbsp;<table border="0" width="100%" cellpadding="0" style="border-collapse: collapse" id="table4">
	<tr>
		<td width="2%" valign="top"><font size="1" face="Arial">(1)</font></td>
		<td width="98%" valign="top">
<P align="left">
<FONT face="Arial" size="1"> The summary financial information is presented in accordance with Canadian generally accepted accounting principles. </FONT></P>
		</td>
	</tr>
	<tr>
		<td width="2%" valign="top"><FONT face="Arial" size="1">(2)</FONT></td>
		<td width="98%" valign="top"><FONT face="Arial" size="1"> This column accounts for investments in all subsidiaries of BCE Inc. under the equity method.</FONT></td>
	</tr>
	<tr>
		<td width="2%" valign="top"><font size="1" face="Arial">(3)</font></td>
		<td width="98%" valign="top">
<P align="left">
<FONT face="Arial" size="1"> This column accounts for investments in all subsidiaries of BCE Inc. (other than Bell Canada) on a consolidated basis.</FONT></P>
		</td>
	</tr>
	<tr>
		<td width="2%" valign="top"><font size="1" face="Arial">(4)</font></td>
		<td width="98%" valign="top">
<P align="left">
<FONT face="Arial" size="1"> This column includes the necessary amounts to eliminate the intercompany balances between BCE Inc.,
Bell Canada and other subsidiaries and other adjustments to arrive at the information for BCE
Inc. on a consolidated basis.</FONT></P></td>
	</tr>
</table>


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`
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-----END PRIVACY-ENHANCED MESSAGE-----
