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<SEC-DOCUMENT>0001137171-09-000349.txt : 20090511
<SEC-HEADER>0001137171-09-000349.hdr.sgml : 20090511
<ACCEPTANCE-DATETIME>20090511090512
ACCESSION NUMBER:		0001137171-09-000349
CONFORMED SUBMISSION TYPE:	6-K
PUBLIC DOCUMENT COUNT:		6
CONFORMED PERIOD OF REPORT:	20090508
FILED AS OF DATE:		20090511
DATE AS OF CHANGE:		20090511

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			ELDORADO GOLD CORP                                      /FI
		CENTRAL INDEX KEY:			0000918608
		STANDARD INDUSTRIAL CLASSIFICATION:	GOLD & SILVER ORES [1040]
		IRS NUMBER:				000000000

	FILING VALUES:
		FORM TYPE:		6-K
		SEC ACT:		1934 Act
		SEC FILE NUMBER:	001-31522
		FILM NUMBER:		09812875

	BUSINESS ADDRESS:	
		STREET 1:		920 - 1055
		STREET 2:		WEST HASTINGS STREET
		CITY:			VANCOUVER
		STATE:			A1
		ZIP:			V6E 2E9

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	ELDORADO CORP LTD                                       /FI
		DATE OF NAME CHANGE:	19960701
</SEC-HEADER>
<DOCUMENT>
<TYPE>6-K
<SEQUENCE>1
<FILENAME>eldorado6k051109.htm
<DESCRIPTION>ELDORADO GOLD CORP. FORM 6-K
<TEXT>
<html>

<head>
<meta name="GENERATOR" content="Microsoft FrontPage 4.0">
<meta name="ProgId" content="FrontPage.Editor.Document">
<title>CC Filed by Filing Services Canada Inc. 403-717-3898</title>
</head>

<body>

<p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center"><b>FORM
6-K</b></p>
<p style="margin:0pt; font-family:Times New Roman; font-size:12pt" align="center"><br>
</p>
<p style="margin-top:0pt; margin-bottom:12pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center">UNITED
STATES<br>
SECURITIES AND EXCHANGE COMMISSION<br>
Washington, D.C. 20549</p>
<p style="margin-top:0pt; margin-bottom:12pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center"><b>Report
of Foreign Private Issuer</b></p>
<p style="margin-top:0pt; margin-bottom:12pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center"><b>Pursuant
to Rule 13a-16 or 15d-16<br>
of the Securities Exchange Act of 1934</b></p>
<p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
</p>
<p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt">For
the month of <b>May 8, 2009</b></p>
<p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
</p>
<p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt">Commission
File Number &nbsp;<b>001-31522</b></p>
<p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
</p>
<table style="font-size:10pt" cellspacing="0" align="center">
  <tr>
    <td width="640">
      <p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center"><b>Eldorado
      Gold Corporation<br>
      </b>(Translation of registrant's name into English)</p>
    </td>
  </tr>
  <tr>
    <td width="640">
      <p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center"><b>1188-550
      Burrard Street</b></p>
      <p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center"><b>Bentall
      5</b></p>
      <p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center"><b>Vancouver,
      B.C.</b></p>
      <p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center"><b>Canada
      &nbsp;V6C 2B5<br>
      </b>(Address of principal executive offices)<br>
      </p>
    </td>
  </tr>
</table>
<p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
</p>
<p style="margin-top:0pt; margin-bottom:12pt; line-height:14pt; font-family:Times New Roman; font-size:12pt">Indicate
by check mark whether the registrant files or will file annual reports under
cover Form 20-F or Form 40-F.</p>
<p style="margin-top:0pt; margin-bottom:12pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center">Form
20-F....[<b> &nbsp;&nbsp;</b>]..... Form 40-F...[.<b>X</b>.]...</p>
<p style="margin-top:0pt; margin-bottom:12pt; line-height:14pt; font-family:Times New Roman; font-size:12pt">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): ____</p>
<p style="margin-top:5pt; margin-bottom:5pt; padding-left:36pt; font-family:Times New Roman"><b>Note:
</b>Regulation&nbsp;S-T Rule&nbsp;101(b)(1) only permits the submission in paper
of a Form&nbsp;6-K if submitted solely to provide an attached annual report to
security holders.</p>
<p style="margin-top:0pt; margin-bottom:12pt; line-height:14pt; font-family:Times New Roman; font-size:12pt">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): ____</p>
<p style="margin-top:5pt; margin-bottom:5pt; padding-left:36pt; font-family:Times New Roman"><b>Note:
</b>Regulation&nbsp;S-T Rule&nbsp;101(b)(7) only permits the submission in paper
of a Form&nbsp;6-K if submitted to furnish a report or other document that the
registrant foreign private issuer must furnish and make public under the laws of
the jurisdiction in which the registrant is incorporated, domiciled or legally
organized (the registrant's &quot;home country&quot;), or under the rules of the
home country exchange on which the registrant's securities are traded, as long
as the report or other document is not a press release, is not required to be
and has not been distributed to the registrant's security holders, and, if
discussing a material event, has already been the subject of a Form&nbsp;6-K
submission or other Commission filing on EDGAR.</p>
<p style="margin-top:0pt; margin-bottom:12pt; line-height:14pt; font-family:Times New Roman; font-size:12pt">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.</p>
<p style="margin-top:0pt; margin-bottom:12pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center">Yes
&nbsp;[ &nbsp;&nbsp;&nbsp;] &nbsp;No [ <b>X </b>]</p>
<p style="margin-top:0pt; margin-bottom:12pt; line-height:14pt; font-family:Times New Roman; font-size:12pt">If
&quot;Yes&quot; is marked, indicate below the file number assigned to the
registrant in connection with Rule 12g3-2(b): 82- ________</p>
<p style="margin:0pt; font-family:Times New Roman; font-size:12pt">&nbsp;</p>
<p style="page-break-before:always; margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
</p>
<hr>
<p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
</p>
<br>
<p style="margin-top:0pt; margin-bottom:12pt; line-height:14pt; font-family:Times New Roman; font-size:12pt" align="center"><b>Signatures</b></p>
<p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt">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.</p>
<p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
</p>
<div align="center">
  <center>
  <table style="font-size:10pt" cellspacing="0" width="100%">
    <tr>
      <td valign="top" width="319.2">
        <p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
        </p>
        <p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
        </p>
        <p style="margin:0pt; font-family:Times New Roman; font-size:12pt">&nbsp;</p>
        <p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
        </p>
        <p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
        </p>
        <p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt">Date:
        &nbsp;May 8, 2009</p>
      </td>
      <td valign="top" width="319.2">
        <p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt"><b>ELDORADO
        GOLD CORPORATION</b></p>
        <p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
        </p>
        <p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
        </p>
        <p style="margin:0pt; font-family:Times New Roman; font-size:12pt"><br>
        </p>
        <p style="margin-top:0pt; margin-bottom:-14pt; text-indent:36pt; line-height:14pt; font-family:Times New Roman; font-size:12pt"><u>/s/
        Dawn Moss<br>
        <br>
        </u></p>
        <p style="margin:0pt; line-height:14pt; font-family:Times New Roman; font-size:12pt">Dawn
        Moss, Corporate Secretary</p>
      </td>
    </tr>
  </table>
  </center>
</div>
<p style="margin:0pt; font-family:Times New Roman; font-size:12pt">&nbsp;</p>
<p style="margin:0pt; font-family:Times New Roman; font-size:12pt">&nbsp;</p>
<p style="font-family: Times New Roman; font-size: 12pt; margin: 0pt">Exhibits</p>
<p style="font-family: Times New Roman; font-size: 12pt; margin: 0pt">&nbsp;</p>
<p style="font-family: Times New Roman; font-size: 12pt; margin: 0pt">32.1&nbsp;&nbsp;&nbsp;
<a href="ceocert.htm">CEO Certification</a></p>

<p style="font-family: Times New Roman; font-size: 12pt; margin: 0pt">32.2&nbsp;&nbsp;&nbsp;
<a href="cfocert.htm">CFO Certification</a></p>

<p style="font-family: Times New Roman; font-size: 12pt; margin: 0pt">99.1&nbsp;&nbsp;&nbsp;
<a href="financials.htm">Interim Financial Statements</a></p>

<p style="font-family: Times New Roman; font-size: 12pt; margin: 0pt">99.2&nbsp;&nbsp;&nbsp;
<a href="mda.htm">Management's Discussion &amp; Analysis</a></p>

</body>

</html>
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-32.1
<SEQUENCE>2
<FILENAME>ceocert.htm
<DESCRIPTION>CERTIFICATION
<TEXT>
<!doctype html public "-//IETF//DTD HTML//EN">
<HTML>
<HEAD>
<TITLE>CC Filed by Filing Services Canada Inc. 403-717-3898</TITLE>
<META NAME="date" CONTENT="05/08/2009">
</HEAD>
<BODY style="line-height:12pt; font-family:Times New Roman; font-size:10pt; color:#000000">
<P style="margin:0px" align=right><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=center><B>Form 52-109F2</B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=center><B>Certification of interim filings - full certificate</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:14.667px; font-size:11pt" align=justify>I, Paul N. Wright, President and Chief Executive Officer of Eldorado Gold Corporation, certify the following:</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt" align=justify>1.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>I have reviewed the interim financial statements and interim MD&amp;A (together, the &#147;interim filings&#148;) of Eldorado Gold Corporation (the &#147;issuer&#148;) for the interim period ended March 31, 2009.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt" align=justify>2.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>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.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-24px; font-size:11pt" align=justify>3.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>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. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-24px; font-size:11pt" align=justify>4.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>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.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-24px; font-size:11pt" align=justify>5.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>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</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:96px; text-indent:-48px; font-size:11pt" align=justify>(a) </P>
<P style="line-height:13pt; margin:0px; padding-left:96px; font-size:11pt" align=justify>designed DC&amp;P, or caused it to be designed under our supervision, to provide reasonable assurance that </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:144px; text-indent:-48px; font-size:11pt" align=justify>(i)</P>
<P style="line-height:13pt; margin:0px; padding-left:144px; font-size:11pt" align=justify>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</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:144px; text-indent:-48px; font-size:11pt" align=justify>(ii)</P>
<P style="line-height:13pt; margin:0px; padding-left:144px; font-size:11pt" align=justify>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 </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:96px; text-indent:-48px; font-size:11pt" align=justify>(b) </P>
<P style="line-height:13pt; margin:0px; padding-left:96px; font-size:11pt" align=justify>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.</P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt">5.1</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt">The control framework the issuer&#146;s other certifying officer(s) and I used to design the issuer&#146;s ICFR is the Committee of Sponsoring Organizations of the Treadway Commission (COSO) framework.<B><I> </I></B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt">5.2</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt">N/A</P>
<P style="margin:0px"><BR>
<BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="margin:0px; page-break-before:always"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt">5.3</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt">The issuer has disclosed in its interim MD&amp;A</P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:96px; text-indent:-48px; font-size:11pt">(a)</P>
<P style="line-height:13pt; margin:0px; padding-left:96px; font-size:11pt">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 </P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:144px; text-indent:-48px; font-size:11pt">(iii)</P>
<P style="line-height:13pt; margin:0px; padding-left:144px; font-size:11pt">a business that the issuer acquired not more than 365<B> </B>days before the last day of the period covered by the interim filings; and </P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:96px; text-indent:-48px; font-size:11pt">(b)</P>
<P style="line-height:13pt; margin:0px; padding-left:96px; font-size:11pt">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. </P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt">6.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt">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, 2009 and ended on March 31, 2009 that has materially affected, or is reasonably likely to materially affect, the issuer&#146;s ICFR. </P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">Date: May 8, 2009</P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt"><I>&#147;Paul N. Wright&#148;</I></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">_______________________</P>
<P style="line-height:13pt; margin:0px; font-size:11pt">Paul N. Wright</P>
<P style="line-height:13pt; margin:0px; font-size:11pt">President and Chief Executive Officer</P>
<P style="margin-top:0px; margin-bottom:14.667px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR>
<BR></P>
<P style="margin:0px">2</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
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<DOCUMENT>
<TYPE>EX-32.2
<SEQUENCE>3
<FILENAME>cfocert.htm
<DESCRIPTION>CERTIFICATION
<TEXT>
<!doctype html public "-//IETF//DTD HTML//EN">
<HTML>
<HEAD>
<TITLE>CC Filed by Filing Services Canada Inc. 403-717-3898</TITLE>
<META NAME="date" CONTENT="05/08/2009">
</HEAD>
<BODY style="line-height:12pt; font-family:Times New Roman; font-size:10pt; color:#000000">
<P style="margin:0px" align=right><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=center><B>Form 52-109F2</B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=center><B>Certification of interim filings - full certificate</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:14.667px; font-size:11pt" align=justify>I, Earl W. Price, Chief Financial Officer of Eldorado Gold Corporation, certify the following:</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt" align=justify>1.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>I have reviewed the interim financial statements and interim MD&amp;A (together, the &#147;interim filings&#148;) of Eldorado Gold Corporation (the &#147;issuer&#148;) for the interim period ended March 31, 2009.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt" align=justify>2.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>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.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-24px; font-size:11pt" align=justify>3.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>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. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-24px; font-size:11pt" align=justify>4.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>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.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-24px; font-size:11pt" align=justify>5.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>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</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:96px; text-indent:-48px; font-size:11pt" align=justify>(a) </P>
<P style="line-height:13pt; margin:0px; padding-left:96px; font-size:11pt" align=justify>designed DC&amp;P, or caused it to be designed under our supervision, to provide reasonable assurance that </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:144px; text-indent:-48px; font-size:11pt" align=justify>(i)</P>
<P style="line-height:13pt; margin:0px; padding-left:144px; font-size:11pt" align=justify>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</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:144px; text-indent:-48px; font-size:11pt" align=justify>(ii)</P>
<P style="line-height:13pt; margin:0px; padding-left:144px; font-size:11pt" align=justify>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 </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:96px; text-indent:-48px; font-size:11pt" align=justify>(b) </P>
<P style="line-height:13pt; margin:0px; padding-left:96px; font-size:11pt" align=justify>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.</P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt">5.1</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt">The control framework the issuer&#146;s other certifying officer(s) and I used to design the issuer&#146;s ICFR is the Committee of Sponsoring Organizations of the Treadway Commission (COSO) framework.<B><I> </I></B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt">5.2</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt">N/A</P>
<P style="margin:0px"><BR>
<BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="margin:0px; page-break-before:always"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt">5.3</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt">The issuer has disclosed in its interim MD&amp;A</P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:96px; text-indent:-48px; font-size:11pt">(a)</P>
<P style="line-height:13pt; margin:0px; padding-left:96px; font-size:11pt">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 </P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:144px; text-indent:-48px; font-size:11pt">(iii)</P>
<P style="line-height:13pt; margin:0px; padding-left:144px; font-size:11pt">a business that the issuer acquired not more than 365<B> </B>days before the last day of the period covered by the interim filings; and </P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:96px; text-indent:-48px; font-size:11pt">(b)</P>
<P style="line-height:13pt; margin:0px; padding-left:96px; font-size:11pt">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. </P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-48px; font-size:11pt">6.</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt">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, 2009 and ended on March 31, 2009 that has materially affected, or is reasonably likely to materially affect, the issuer&#146;s ICFR. </P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">Date: May 8, 2009</P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt"><I>&#147;Earl W. Price&#148;</I></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">_________________</P>
<P style="line-height:13pt; margin:0px; font-size:11pt">Earl W. Price</P>
<P style="line-height:13pt; margin:0px; font-size:11pt">Chief Financial Officer</P>
<P style="margin-top:0px; margin-bottom:14.667px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR>
<BR></P>
<P style="margin:0px">2</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
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<DOCUMENT>
<TYPE>EX-99.1
<SEQUENCE>4
<FILENAME>financials.htm
<DESCRIPTION>FINANCIALS
<TEXT>
<!doctype html public "-//IETF//DTD HTML//EN">
<HTML>
<HEAD>
<TITLE>CC Filed by Filing Services Canada Inc. 403-717-3898</TITLE>
<META NAME="author" CONTENT="Janie Foo">
<META NAME="date" CONTENT="05/08/2009">
</HEAD>
<BODY style="line-height:12pt; font-family:Times New Roman; font-size:10pt; color:#000000">
<P style="margin:0px" align="right"><img border="0" src="newsrelease001.jpg" width="250" height="99"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR>
<BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=252></TD><TD width=415.333></TD></TR>
<TR><TD style="border-right:1px solid #000000" valign=top width=252><P>&nbsp;</P></TD><TD valign=top width=415.333><P>&nbsp;</P></TD></TR>
<TR><TD style="border-right:1px solid #000000" valign=top width=252><P style="line-height:13pt; margin:0px; padding-left:28.8px; font-size:11pt" align=center><B>March 31, 2009</B></P>
</TD><TD valign=top width=415.333><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Unaudited Interim Consolidated Financial Statements</B></P>
</TD></TR>
<TR><TD style="border-right:1px solid #000000" valign=top width=252><P>&nbsp;</P></TD><TD valign=top width=415.333><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Suite 1188, 550 Burrard Street</B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Vancouver, British Columbia</B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>V6C 2B5</B></P>
<P style="margin:0px" align=right><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Phone: &nbsp;(604) 687-4018</B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Fax: &nbsp;&nbsp;&nbsp;&nbsp;&nbsp;(604) 687-4026</B></P>
</TD></TR>
<TR><TD style="border-right:1px solid #000000" valign=top width=252><P>&nbsp;</P></TD><TD valign=top width=415.333><P>&nbsp;</P></TD></TR>
<TR><TD style="border-right:1px solid #000000" valign=top width=252><P>&nbsp;</P></TD><TD valign=top width=415.333><P>&nbsp;</P></TD></TR>
</TABLE>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px">&nbsp;</P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<A NAME="_1303131767"></A><P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always"><B>Eldorado Gold Corporation</B></P>
<P style="line-height:15pt; margin:0px; padding-bottom:4px; font-size:13pt; border-bottom:1px solid #000000">Unaudited Consolidated Balance Sheets </P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(Expressed in thousands of U.S. dollars)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=433></TD><TD width=23.667></TD><TD width=121.333></TD><TD width=34.933></TD><TD width=124.467></TD></TR>
<TR><TD valign=bottom width=433 rowspan=3><P>&nbsp;</P></TD><TD valign=bottom width=23.667 rowspan=3><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=21><P style="line-height:14pt; margin:0px; font-size:12pt" align=right><B>March 31,</B></P>
</TD><TD valign=bottom width=34.933 rowspan=3><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=21><P style="line-height:14pt; margin:0px; font-size:12pt" align=right><B>December 31,</B></P>
</TD></TR>
<TR><TD valign=bottom width=121.333 height=21><P style="line-height:14pt; margin:0px; font-size:12pt" align=right><B>2009</B></P>
</TD><TD valign=bottom width=124.467 height=21><P style="line-height:14pt; margin:0px; font-size:12pt" align=right><B>2008</B></P>
</TD></TR>
<TR><TD valign=bottom width=121.333 height=21><P style="line-height:14pt; margin:0px; font-size:12pt" align=right><B>$</B></P>
</TD><TD valign=bottom width=124.467 height=21><P style="line-height:14pt; margin:0px; font-size:12pt" align=right><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=433 height=22><P style="line-height:15pt; margin:0px; font-size:13pt"><B>Assets</B></P>
</TD><TD valign=bottom width=23.667 height=22><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=22><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=22><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=22><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=22><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=22><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=22><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=22><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=22><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=21><P style="line-height:13pt; margin:0px; font-size:11pt">Current assets</P>
</TD><TD valign=bottom width=23.667 height=21><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=21><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=21><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=21><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Cash and cash equivalents</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;107,954&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;61,851&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Restricted cash (note 3)</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;5,500&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Marketable securities</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;14,618&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;43,610&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Accounts receivable and other</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;14,917&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;36,109&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Inventories</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;95,445&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;86,966&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Future income taxes</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;175&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;238,434&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;228,711&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Restricted assets and other</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;10,012&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;8,349&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Mining interests </P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;681,134&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;668,309&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:4px solid #000000" valign=bottom width=121.333 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;929,580&nbsp;</P>
</TD><TD style="border-bottom:4px solid #000000" valign=bottom width=34.933 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:4px solid #000000" valign=bottom width=124.467 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;905,369&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=16><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=16><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=16><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=16><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=16><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=22><P style="line-height:15pt; margin:0px; font-size:13pt"><B>Liabilities</B></P>
</TD><TD valign=bottom width=23.667 height=22><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=22><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=22><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=22><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=22><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=22><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=22><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=22><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=22><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Current liabilities</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Accounts payable and accrued liabilities</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;34,098&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;42,659&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Debt</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;5,115&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;139&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Future income taxes </P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;2,974&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;1,097&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;42,187&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;43,895&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Asset retirement obligations</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;4,872&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;4,812&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Future income taxes</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;56,535&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;60,043&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=121.333 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;103,594&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=34.933 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=124.467 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;108,750&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=15><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=15><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=15><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=15><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=15><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=22><P style="line-height:15pt; margin:0px; font-size:13pt"><B>Non-controlling interest</B></P>
</TD><TD valign=bottom width=23.667 height=22><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=22><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;5,161&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=22><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=22><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;4,799&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=15><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=15><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=15><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=15><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=15><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=22><P style="line-height:15pt; margin:0px; font-size:13pt"><B>Shareholders* Equity</B></P>
</TD><TD valign=bottom width=23.667 height=22><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=22><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=22><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=22><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=12><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=12><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=12><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=12><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=12><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Share capital (note 5(a))</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;947,736&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;931,933&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Contributed surplus (note 5(b))</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;17,206&nbsp;</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;19,378&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Accumulated other comprehensive loss (note 5(c))</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(3,658)</P>
</TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(5,971)</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Deficit</P>
</TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=121.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(140,459)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=124.467 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(153,520)</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=121.333 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;820,825&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=34.933 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=124.467 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;791,820&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:4px solid #000000" valign=bottom width=121.333 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;929,580&nbsp;</P>
</TD><TD style="border-bottom:4px solid #000000" valign=bottom width=34.933 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:4px solid #000000" valign=bottom width=124.467 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;905,369&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=433 height=21><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=21><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=21><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=21><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=21><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=20><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=433 height=20><P>&nbsp;</P></TD><TD valign=bottom width=23.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=121.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=34.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=124.467 height=20><P>&nbsp;</P></TD></TR>
</TABLE>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><font size="3"><b>Approved on behalf of the Board of Directors<br>
</b><br>
<br>
<br>
<i>                    (Signed) Robert Gilmore</i>           Director&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<i>&nbsp;&nbsp;
(Signed) Paul N. Wright</i>          Director&nbsp;<BR>
</font>
<BR></P>
<P style="line-height:13pt; margin:0px; padding-right:24px; font-size:11pt" align=center>See accompanying notes to consolidated financial statements.</P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<A NAME="_1302005166"></A><P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always"><B>Eldorado Gold Corporation</B></P>
<P style="line-height:15pt; margin:0px; font-size:13pt">Unaudited Consolidated Statements of Operations and Deficit</P>
<P style="line-height:14pt; margin:0px; padding-bottom:4px; font-size:12pt; border-bottom:1px solid #000000"><B>For the three months ended March 31,</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(Expressed in thousands of U.S. dollars except per share amounts)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=480.333></TD><TD width=26.733></TD><TD width=114.133></TD><TD width=17.467></TD><TD width=109></TD></TR>
<TR><TD valign=bottom width=480.333 rowspan=2><P>&nbsp;</P></TD><TD valign=bottom width=26.733 rowspan=2><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>2009</B></P>
</TD><TD valign=bottom width=17.467 rowspan=2><P>&nbsp;</P></TD><TD valign=bottom width=109 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>2008</B></P>
</TD></TR>
<TR><TD valign=bottom width=114.133 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>$</B></P>
</TD><TD valign=bottom width=109 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=22.533><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Revenue</B></P>
</TD><TD valign=bottom width=26.733 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=109 height=22.533><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Gold sales</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;52,206&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;68,675&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Interest and other income</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;196&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;3,708&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=114.133 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;52,402&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=17.467 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=109 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;72,383&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=11><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=11><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=11><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=11><P>&nbsp;</P></TD><TD valign=bottom width=109 height=11><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=22.533><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Expenses</B></P>
</TD><TD valign=bottom width=26.733 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=109 height=22.533><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Operating costs</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;18,442&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;19,819&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Depletion, depreciation and amortization</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;4,460&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;8,824&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">General and administrative</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;8,762&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;9,795&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Exploration</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;2,062&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;2,191&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Mine standby costs</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;2,432&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Asset retirement obligation costs</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;53&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;133&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Foreign exchange (gain) loss</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(3,089)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;854&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;30,690&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;44,048&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=10><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=10><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=10><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=10><P>&nbsp;</P></TD><TD valign=bottom width=109 height=10><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Loss (gain) on marketable securities</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;964&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(160)</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Interest and financing costs</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;81&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;1,028&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Loss on derivative contract</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;739&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=26.8><P>&nbsp;</P></TD><TD style="border-top:1px solid #000000; border-bottom:1px solid #000000" valign=bottom width=114.133 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;31,735&nbsp;</P>
</TD><TD style="border-top:1px solid #000000; border-bottom:1px solid #000000" valign=bottom width=17.467 height=26.8><P>&nbsp;</P></TD><TD style="border-top:1px solid #000000; border-bottom:1px solid #000000" valign=bottom width=109 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;45,655&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=22.533><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Income before income taxes and non-controlling interest</B></P>
</TD><TD valign=bottom width=26.733 height=22.533><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=114.133 height=22.533><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;20,667&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=17.467 height=22.533><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=109 height=22.533><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;26,728&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=11><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=11><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=11><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=11><P>&nbsp;</P></TD><TD valign=bottom width=109 height=11><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=22.533><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Income tax expense</B></P>
</TD><TD valign=bottom width=26.733 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=109 height=22.533><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Current</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(6,017)</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(5,682)</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Future</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(1,227)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(309)</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=114.133 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(7,244)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=17.467 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=109 height=26.8><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(5,991)</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=14><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=14><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=14><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=14><P>&nbsp;</P></TD><TD valign=bottom width=109 height=14><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=22><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Non-controlling interest</B></P>
</TD><TD valign=bottom width=26.733 height=22><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=114.133 height=22><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(362)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=17.467 height=22><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=109 height=22><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=16><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=16><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=16><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=16><P>&nbsp;</P></TD><TD valign=bottom width=109 height=16><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=22><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Net income for the period</B></P>
</TD><TD valign=bottom width=26.733 height=22><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=114.133 height=22><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;13,061&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=17.467 height=22><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=109 height=22><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;20,737&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=14><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=14><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=14><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=14><P>&nbsp;</P></TD><TD valign=bottom width=109 height=14><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=22.533><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Deficit, beginning of period</B></P>
</TD><TD valign=bottom width=26.733 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=22.533><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(153,520)</P>
</TD><TD valign=bottom width=17.467 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=109 height=22.533><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(317,176)</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=109 height=22.533><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=22.533><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Deficit, end of period</B></P>
</TD><TD valign=bottom width=26.733 height=22.533><P>&nbsp;</P></TD><TD style="border-bottom:4px solid #000000" valign=bottom width=114.133 height=22.533><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(140,459)</P>
</TD><TD style="border-bottom:4px solid #000000" valign=bottom width=17.467 height=22.533><P>&nbsp;</P></TD><TD style="border-bottom:4px solid #000000" valign=bottom width=109 height=22.533><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(296,439)</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=13><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=13><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=13><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=13><P>&nbsp;</P></TD><TD valign=bottom width=109 height=13><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=22.533><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Weighted average number of shares outstanding </B></P>
</TD><TD valign=bottom width=26.733 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=22.533><P>&nbsp;</P></TD><TD valign=bottom width=109 height=22.533><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Basic</P>
</TD><TD valign=bottom width=26.733 rowspan=2><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;369,862&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;344,542&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Diluted</P>
</TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;371,833&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;345,902&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=14><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=14><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=14><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=14><P>&nbsp;</P></TD><TD valign=bottom width=109 height=14><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=21><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Earnings per share</B></P>
</TD><TD valign=bottom width=26.733 height=21><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=21><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=21><P>&nbsp;</P></TD><TD valign=bottom width=109 height=21><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Basic income (loss) per share - US$</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.04&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.06&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Diluted income (loss) per share - US$</P>
</TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.04&nbsp;</P>
</TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.06&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=480.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=20><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=20><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=20><P>&nbsp;</P></TD><TD valign=bottom width=109 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333><P>&nbsp;</P></TD><TD valign=bottom width=26.733><P>&nbsp;</P></TD><TD valign=bottom width=114.133><P>&nbsp;</P></TD><TD valign=bottom width=17.467><P>&nbsp;</P></TD><TD valign=bottom width=109><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333><P>&nbsp;</P></TD><TD valign=bottom width=26.733><P>&nbsp;</P></TD><TD valign=bottom width=114.133><P>&nbsp;</P></TD><TD valign=bottom width=17.467><P>&nbsp;</P></TD><TD valign=bottom width=109><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=480.333 height=17><P>&nbsp;</P></TD><TD valign=bottom width=26.733 height=17><P>&nbsp;</P></TD><TD valign=bottom width=114.133 height=17><P>&nbsp;</P></TD><TD valign=bottom width=17.467 height=17><P>&nbsp;</P></TD><TD valign=bottom width=109 height=17><P>&nbsp;</P></TD></TR>
</TABLE>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; padding-right:24px; font-size:11pt" align=center>See accompanying notes to the consolidated financial statements.</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<A NAME="_1302095662"></A><P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always"><B>Eldorado Gold Corporation</B></P>
<P style="line-height:15pt; margin:0px; font-size:13pt">Unaudited Consolidated Statements of Cash Flows</P>
<P style="line-height:14pt; margin:0px; padding-bottom:4px; font-size:12pt; border-bottom:1px solid #000000"><B>For the three months ended March 31,</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(Expressed in thousands of U.S. dollars, unless otherwise stated)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=441.267></TD><TD width=33.933></TD><TD width=126.533></TD><TD width=31.867></TD><TD width=126.533></TD></TR>
<TR><TD valign=bottom width=441.267 rowspan=2><P>&nbsp;</P></TD><TD valign=bottom width=33.933 rowspan=2><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=21><P style="line-height:14pt; margin:0px; font-size:12pt" align=right><B>2009</B></P>
</TD><TD valign=bottom width=31.867 rowspan=2><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=21><P style="line-height:14pt; margin:0px; font-size:12pt" align=right><B>2008</B></P>
</TD></TR>
<TR><TD valign=bottom width=126.533 height=21><P style="line-height:14pt; margin:0px; font-size:12pt" align=right><B>$</B></P>
</TD><TD valign=bottom width=126.533 height=21><P style="line-height:14pt; margin:0px; font-size:12pt" align=right><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=21><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Cash flows generated from (used in):</B></P>
</TD><TD valign=bottom width=33.933 height=21><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=21><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=21><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=21><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=14><P>&nbsp;</P></TD><TD valign=bottom width=33.933 height=14><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=14><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=14><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=14><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=21><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Operating activities</B></P>
</TD><TD valign=bottom width=33.933 height=21><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=21><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=21><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=21><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Net income for the period</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;13,061&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;20,737&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Items not affecting cash</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Asset retirement obligations costs</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;53&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;133&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Depletion, depreciation and amortization</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;4,460&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;8,824&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Unrealized foreign exchange (gain) loss</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(2,683)</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;418&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Future income taxes expense</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;1,227&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;309&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Loss (gain) on marketable securities</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;964&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(160)</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Imputed interest and financing costs</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;10&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Stock-based compensation</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;3,080&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;4,882&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Pension expense (note 4)</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;198&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Non-controlling interest</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;362&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Loss on derivative contract</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;739&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=33.933 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;20,722&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;35,892&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt">&nbsp;&nbsp;&nbsp;Bonus cash award units payments</P>
</TD><TD valign=bottom width=33.933 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(2,059)</P>
</TD><TD valign=bottom width=31.867 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Property reclamation payments</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(652)</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Contractual severance payments</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(231)</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Changes in non-cash working capital (note 7)</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;7,210&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;12,034&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P>&nbsp;</P></TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;25,873&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;47,043&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=10><P>&nbsp;</P></TD><TD valign=bottom width=33.933 height=10><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=10><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=10><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=10><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Investing activities</B></P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Mining interests</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Capital expenditures</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(19,029)</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(12,714)</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Sales and disposals</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;221&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Marketable securities</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Purchases</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(1,792)</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Disposals</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;30,457&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;263&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Pension plan contributions</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(1,759)</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;-&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Restricted cash and other restricted assets</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(5,525)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(5,300)</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=33.933 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;4,144&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;(19,322)</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=13><P>&nbsp;</P></TD><TD valign=bottom width=33.933 height=13><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=13><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=13><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=13><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=22><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Financing activities</B></P>
</TD><TD valign=bottom width=33.933 height=22><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=22><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=22><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=22><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Capital stock</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Issuance of common shares for cash</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;11,110&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;1,213&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Long-term and bank debt</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=20><P style="line-height:14pt; margin:0px; font-size:12pt">Proceeds</P>
</TD><TD valign=bottom width=33.933 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;4,976&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=20><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=20><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;5,000&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=33.933 height=26.8><P>&nbsp;</P></TD><TD style="border-top:1px solid #000000; border-bottom:1px solid #000000" valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;16,086&nbsp;</P>
</TD><TD style="border-top:1px solid #000000; border-bottom:1px solid #000000" valign=bottom width=31.867 height=26.8><P>&nbsp;</P></TD><TD style="border-top:1px solid #000000; border-bottom:1px solid #000000" valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;6,213&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Net increase in cash and cash equivalents</B></P>
</TD><TD valign=bottom width=33.933 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;46,103&nbsp;</P>
</TD><TD valign=bottom width=31.867 height=26.8><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;33,934&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Cash and cash equivalents - beginning of period</B></P>
</TD><TD valign=bottom width=33.933 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;61,851&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=31.867 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;46,014&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Cash and cash equivalents - end of period</B></P>
</TD><TD valign=bottom width=33.933 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:4px solid #000000" valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;107,954&nbsp;</P>
</TD><TD style="border-bottom:4px solid #000000" valign=bottom width=31.867 height=26.8><P>&nbsp;</P></TD><TD style="border-bottom:4px solid #000000" valign=bottom width=126.533 height=26.8><P style="line-height:14pt; margin:0px; font-size:12pt" align=right>&nbsp;&nbsp;79,948&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=441.267 height=22><P>&nbsp;</P></TD><TD valign=bottom width=33.933 height=22><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=22><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=22><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=22><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=21><P style="line-height:14pt; margin:0px; font-size:12pt"><B>Supplementary cash flow information</B> (note 7)</P>
</TD><TD valign=bottom width=33.933 height=21><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=21><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=21><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=21><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267><P>&nbsp;</P></TD><TD valign=bottom width=33.933><P>&nbsp;</P></TD><TD valign=bottom width=126.533><P>&nbsp;</P></TD><TD valign=bottom width=31.867><P>&nbsp;</P></TD><TD valign=bottom width=126.533><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=441.267 height=17><P>&nbsp;</P></TD><TD valign=bottom width=33.933 height=17><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=17><P>&nbsp;</P></TD><TD valign=bottom width=31.867 height=17><P>&nbsp;</P></TD><TD valign=bottom width=126.533 height=17><P>&nbsp;</P></TD></TR>
</TABLE>
<P style="margin:0px" align=center><BR><BR></P>
<P style="line-height:13pt; margin:0px; padding-right:24px; font-size:11pt" align=center>See accompanying notes to the consolidated financial statements.</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always"><B>Eldorado Gold Corporation</B></P>
<P style="line-height:15pt; margin:0px; font-size:13pt">Unaudited Consolidated Statements of Comprehensive Income</P>
<P style="line-height:14pt; margin:0px; padding-bottom:4px; font-size:12pt; border-bottom:1px solid #000000"><B>For the three months ended March 31,</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(Expressed in thousands of U.S. dollars, unless otherwise stated)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=454.667></TD><TD width=110></TD><TD width=110></TD></TR>
<TR><TD valign=bottom width=454.667><P>&nbsp;</P></TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; text-indent:36.667px; font-size:11pt" align=justify><B>2009</B></P>
</TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; text-indent:36.667px; font-size:11pt" align=justify><B>2008</B></P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P>&nbsp;</P></TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; text-indent:58.667px; font-size:11pt" align=justify><B>$</B></P>
</TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; text-indent:58.667px; font-size:11pt" align=justify><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P>&nbsp;</P></TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;</B></P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P style="line-height:11.5pt; margin-top:7.333px; margin-bottom:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt">Net earnings for the period ended March 31, </P>
</TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px; text-indent:46.067px; font-size:11pt">13,061</P>
</TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px; text-indent:46.067px; font-size:11pt">20,737</P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P>&nbsp;</P></TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P style="line-height:11.5pt; margin:0px; padding-left:14.4px; text-indent:-14.4px; font-size:11pt">Other comprehensive income (loss)</P>
</TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P style="line-height:11.5pt; margin:0px; padding-left:28.8px; text-indent:-14.4px; font-size:11pt">Unrealized gains (losses) on available-for-sale investments (note 5(c))</P>
</TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px; text-indent:53.4px; font-size:11pt">2,313</P>
</TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px; text-indent:54.667px; font-size:11pt">(521)</P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P>&nbsp;</P></TD><TD style="border-top:1px solid #000000" valign=bottom width=110><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD><TD style="border-top:1px solid #000000" valign=bottom width=110><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P style="line-height:11.5pt; margin:0px; padding-left:14.4px; text-indent:-14.4px; font-size:11pt">Comprehensive income for the period ended March 31, </P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=110><P style="line-height:11.5pt; margin:0px; text-indent:46.067px; font-size:11pt">15,374</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=110><P style="line-height:11.5pt; margin:0px; text-indent:46.067px; font-size:11pt">20,216</P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P>&nbsp;</P></TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=110><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD></TR>
</TABLE>
<P style="line-height:14.5pt; margin:0px"><BR></P>
<hr>
<P style="line-height:19pt; margin:0px; font-size:17pt"><B>Eldorado Gold Corporation</B></P>
<P style="line-height:15pt; margin:0px; font-size:13pt">Notes to the Unaudited Interim Consolidated Financial Statements</P>
<P style="line-height:14pt; margin:0px; padding-bottom:4px; font-size:12pt; border-bottom:1px solid #000000"><B>March 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(Expressed in thousands of U.S. dollars, unless otherwise stated)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:16.5pt; margin-top:0px; margin-bottom:-22px; padding-left:28.8px; text-indent:-28.8px; font-size:12pt"><B>1.</B></P>
<P style="line-height:14.5pt; margin:0px; padding-left:28.8px; font-size:12pt"><B>Nature of operations</B></P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; padding-left:28.8px; font-size:11pt" align=justify>Eldorado Gold Corporation (&#147;Eldorado&#148; or &#147;the Company&#148;) is a gold exploration, development, mining and production company. The Company has ongoing exploration and development projects in Brazil, China, Turkey and Greece. On July 1, 2006, the Company began production in Turkey, and on February 1, 2007, the Company began production in China. Production at the Ki&#351;lada&#287; mine in Turkey was suspended in August 2007 as a result of a court injunction and the mine remained shut down throughout the rest of that year. The court injunction was removed in February 2008 and the mine restarted production on March 6, 2008. Production operations in Brazil ceased in the second quarter of 2007 and the S&#227;o Bento mine (&#147;S&#227;o Bento&#148;) was sold to AngloGold Ashanti on December 15, 2008.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; padding-left:28.8px; font-size:11pt" align=justify>With the exception of changes in accounting policies as outlined in note 2 below, these unaudited interim consolidated financial statements were prepared by Eldorado in accordance with Canadian generally accepted accounting principles (&#147;Canadian GAAP&#148;) consistent with those used to prepare Eldorado&#146;s audited consolidated financial statements for the year ended December 31, 2008. As these unaudited interim consolidated financial statements do not contain all of the disclosures required by Canadian GAAP, they should be read in conjunction with the notes to the Company&#146;s audited consolidated financial statements for the year ended December 31, 2008.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; padding-left:28.8px; font-size:11pt" align=justify>In the opinion of management, Eldorado has made all adjustments necessary to present fairly the Company&#146;s consolidated financial position as at March 31, 2009 and the consolidated results of operations, cash flows and comprehensive income for the three-month periods then ended. </P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; padding-left:28.8px; font-size:11pt" align=justify>Certain comparative figures have been reclassified to conform to the current period&#146;s presentation.</P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:16.5pt; margin-top:0px; margin-bottom:-22px; padding-left:28.8px; text-indent:-28.8px; font-size:12pt"><B>2.</B></P>
<P style="line-height:14.5pt; margin:0px; padding-left:28.8px; font-size:12pt"><B>Changes in accounting policies and new accounting developments</B></P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; padding-left:29.733px; font-size:11pt"><I>Goodwill and intangible assets (Section 3064)</I></P>
<P style="line-height:13pt; margin-top:11px; margin-bottom:0px; padding-left:29.733px; font-size:11pt" align=justify>In February 2008, the Canadian institute of Chartered Accountants (&#147;CICA&#148;) issued Section 3064, &#147;Goodwill and Intangible Assets&#148;, which replaces Section 3062, &#147;Goodwill and Other Intangible Assets&#148;. This new standard provides guidance on recognizing, measuring, presenting and disclosing goodwill and intangible assets and is effective for the Company beginning January 1, 2009 and applies retrospectively.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; padding-left:29.333px; font-size:11pt" align=justify>Concurrent with the adoption of this standard, CICA Emerging Issues Committee Abstract 27 (&#147;EIC-27&#148;), &#147;Revenues and Expenditures in the Pre-operating Period&#148;, was withdrawn. This resulted in a change to the Company&#146;s accounting for the start-up of mining operations, as pre-commercial production costs are no longer capitalized as an asset. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; padding-left:29.333px; font-size:11pt" align=justify>The adoption of this new accounting policy did not have a material impact on Eldorado&#146;s consolidated financial statements.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always"><B>Eldorado Gold Corporation</B></P>
<P style="line-height:15pt; margin:0px; font-size:13pt">Notes to the Unaudited Interim Consolidated Financial Statements</P>
<P style="line-height:14pt; margin:0px; padding-bottom:4px; font-size:12pt; border-bottom:1px solid #000000"><B>March 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(Expressed in thousands of U.S. dollars, unless otherwise stated)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:14.5pt; margin:0px; font-size:12pt"><B>2. &nbsp;&nbsp;&nbsp;Changes in accounting policies and new accounting developments </B><I>(continued)</I></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; padding-left:29.733px; font-size:11pt"><I>Credit Risk and the Fair Value of Financial Assets and Financial Liabilities (EIC Abstract 173)</I></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; padding-left:29.733px; font-size:11pt" align=justify>In January 2009, the CICA issued EIC Abstract 173, &#147;Credit Risk and the Fair Value of Financial Assets and Financial Liabilities&#148;. The EIC requires the Company to take into account the Company&#146;s own credit risk and the credit risk of the counterparty in determining the fair value of financial assets and financial liabilities, including derivative instruments. This abstract applies to interim and annual financial statements relating to fiscal years beginning on or after January 1, 2009. The adoption of this new accounting policy did not have any material impact on Eldorado&#146;s consolidated financial statements.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; padding-left:29.733px; font-size:11pt"><I>Mining Exploration Costs (EIC Abstract 174)</I></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; padding-left:29.733px; font-size:11pt" align=justify>In March 2009, the CICA issued EIC Abstract 174, &#147;Mining Exploration Costs&#148;. The EIC provides guidance on the accounting and the impairment review of exploration costs. This abstract applies to interim and annual financial statements relating to fiscal years beginning on or after January 1, 2009. The adoption of this new accounting policy did not have any material impact on Eldorado&#146;s consolidated financial statements.</P>
<P style="margin-top:0px; margin-bottom:7.333px" align=justify><BR></P>
<A NAME="_Ref159383530"></A><P style="line-height:16.5pt; margin-top:0px; margin-bottom:-22px; padding-left:28.8px; text-indent:-28.8px; font-size:12pt"><B>3.</B></P>
<P style="line-height:14.5pt; margin-top:0px; margin-bottom:12px; padding-left:28.8px; font-size:12pt"><B>Restricted cash</B></P>
<P style="line-height:13pt; margin:0px; padding-left:28.8px; font-size:11pt" align=justify>Restricted cash represents short-term interest-bearing money market securities and funds held on deposit as collateral. As at March 31, 2009, the Company had the following restricted cash:</P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=366.667></TD><TD width=28.8></TD><TD width=96></TD><TD width=28.8></TD><TD width=96></TD></TR>
<TR><TD valign=bottom width=366.667><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>March 31,</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2009</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>December 31,</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2008</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=366.667><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=366.667><P style="line-height:11.5pt; margin:0px; padding-left:22px; text-indent:-22px; font-size:11pt">Collateral account against the HSBC bank loan &#150; China</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:53.4px; font-size:11pt">5,500</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:81.533px; font-size:11pt">-</P>
</TD><A NAME="_Ref159383584"></A></TR>
</TABLE>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:16.5pt; margin-top:0px; margin-bottom:-22px; padding-left:28.8px; text-indent:-28.8px; font-size:12pt"><B>4.</B></P>
<P style="line-height:14.5pt; margin-top:0px; margin-bottom:8px; padding-left:28.8px; font-size:12pt"><B>Defined benefit plans expense</B></P>
<P style="margin:0px"><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=366.667></TD><TD width=29.333></TD><TD width=95.333></TD><TD width=29.333></TD><TD width=95.333></TD></TR>
<TR><TD valign=bottom width=366.667><P>&nbsp;</P></TD><TD valign=bottom width=29.333><P>&nbsp;</P></TD><TD valign=bottom width=95.333><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>March 31,</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2009</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD><TD valign=bottom width=29.333><P>&nbsp;</P></TD><TD valign=bottom width=95.333><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>March 31,</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2008</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=366.667><P>&nbsp;</P></TD><TD valign=bottom width=29.333><P>&nbsp;</P></TD><TD valign=bottom width=95.333><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=29.333><P>&nbsp;</P></TD><TD valign=bottom width=95.333><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=366.667><P style="line-height:11.5pt; margin:0px; padding-left:22px; text-indent:-22px; font-size:11pt">Pension plan expense</P>
</TD><TD valign=bottom width=29.333><P>&nbsp;</P></TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">17</P>
</TD><TD valign=bottom width=29.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD></TR>
<TR><TD valign=bottom width=366.667><P style="line-height:11.5pt; margin:0px; padding-left:22px; text-indent:-22px; font-size:11pt">SERP expense</P>
</TD><TD valign=bottom width=29.333><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">181</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=29.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD></TR>
<TR><TD valign=bottom width=366.667><P>&nbsp;</P></TD><TD valign=bottom width=29.333><P>&nbsp;</P></TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=29.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=366.667><P style="line-height:11.5pt; margin:0px; padding-left:22px; text-indent:-22px; font-size:11pt">Total</P>
</TD><TD valign=bottom width=29.333><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">198</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=29.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD><A NAME="_Ref159383829"></A></TR>
</TABLE>
<P style="line-height:14.5pt; margin-top:0px; margin-bottom:12px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always"><B>Eldorado Gold Corporation</B></P>
<P style="line-height:15pt; margin:0px; font-size:13pt">Notes to the Unaudited Interim Consolidated Financial Statements</P>
<P style="line-height:14pt; margin:0px; padding-bottom:4px; font-size:12pt; border-bottom:1px solid #000000"><B>March 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(Expressed in thousands of U.S. dollars, unless otherwise stated)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:16.5pt; margin-top:0px; margin-bottom:-22px; padding-left:28.8px; text-indent:-28.8px; font-size:12pt"><B>5.</B></P>
<P style="line-height:14.5pt; margin:0px; padding-left:28.8px; font-size:12pt"><B>Shareholders&#146; equity</B></P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:15pt; margin-top:0px; margin-bottom:-20px; padding-left:57.6px; text-indent:-28.8px; font-size:11pt">(a)</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:11px; padding-left:57.6px; font-size:11pt"><I>Authorized share capital</I></P>
<P style="line-height:13pt; margin:0px; padding-left:57.6px; font-size:11pt" align=justify>The Company&#146;s authorized share capital consists of an unlimited number of voting common shares without par value and an unlimited number of non-voting common shares without par value. At March 31, 2009 there were no non-voting common shares outstanding.</P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=436.8></TD><TD width=28.8></TD><TD width=96></TD><TD width=28.8></TD><TD width=96></TD></TR>
<TR><TD valign=bottom width=436.8><P style="line-height:13pt; margin:0px; padding-left:57.6px; font-size:11pt" align=justify><B>Voting common shares</B></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Number of shares</B></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Amount</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=436.8><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=436.8><P style="line-height:11.5pt; margin:0px; padding-left:86.4px; text-indent:-28.8px; font-size:11pt"><B>Balance, December 31, 2008</B></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">368,278,029</P>
</TD><TD valign=bottom width=28.8><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">931,933</P>
</TD></TR>
<TR><TD valign=bottom width=436.8><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=28.8><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=436.8><P style="line-height:11.5pt; margin:0px; padding-left:100.8px; text-indent:-28.8px; font-size:11pt">Shares issued upon exercise of share options, for cash</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">2,639,361</P>
</TD><TD valign=bottom width=28.8><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">11,110</P>
</TD></TR>
<TR><TD valign=bottom width=436.8><P style="line-height:11.5pt; margin:0px; padding-left:100.8px; text-indent:-28.8px; font-size:11pt">Estimated fair value of share options exercised</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=28.8><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">4,693</P>
</TD></TR>
<TR><TD valign=bottom width=436.8><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-top:1px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD style="border-top:1px solid #000000" valign=bottom width=28.8><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-top:1px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=436.8><P style="line-height:11.5pt; margin:0px; padding-left:86.4px; text-indent:-28.8px; font-size:11pt"><B>Balance, March 31, 2009</B></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">370,917,390</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=28.8><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">947,736</P>
</TD></TR>
</TABLE>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:15pt; margin-top:0px; margin-bottom:-20px; padding-left:57.6px; text-indent:-28.8px; font-size:11pt">(b)</P>
<P style="line-height:13pt; margin:0px; padding-left:57.6px; font-size:11pt"><I>Contributed surplus</I></P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<A NAME="OLE_LINK6"></A><A NAME="OLE_LINK7"></A><P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; padding-left:57.6px; font-size:11pt" align=justify>The continuity of contributed surplus on the Consolidated Balance Sheet is as follows:</P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=374></TD><TD width=28.8></TD><TD width=96></TD><TD width=14.533></TD><TD width=80.667></TD><TD width=21.333></TD><TD width=70.267></TD><TD width=3.733></TD></TR>
<TR><TD valign=bottom width=374><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=286.533 colspan=6><P style="line-height:11.5pt; margin:0px; padding-left:39.733px; padding-right:9.6px; font-size:11pt" align=center><B>&nbsp;Contributed surplus attributable to:</B></P>
</TD></TR>
<TR><TD valign=bottom width=374><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;Stock-based </B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;compensation</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=14.533><P>&nbsp;</P></TD><TD valign=bottom width=80.667><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;Other</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=21.333><P>&nbsp;</P></TD><TD valign=bottom width=74 colspan=2><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Total</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=374><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=14.533><P>&nbsp;</P></TD><TD valign=bottom width=80.667><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=21.333><P>&nbsp;</P></TD><TD valign=bottom width=74 colspan=2><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=374><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-56.533px; font-size:11pt"><B>Balance, December 31, 2008</B></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">18,284</P>
</TD><TD valign=bottom width=14.533><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=80.667><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">1,094</P>
</TD><TD valign=bottom width=21.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=74 colspan=2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">19,378</P>
</TD></TR>
<TR><TD valign=bottom width=374><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=14.533><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=80.667><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=21.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=74 colspan=2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=374><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-41.867px; font-size:11pt">Non-cash stock-based compensation</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">2,521</P>
</TD><TD valign=bottom width=14.533><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=80.667><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD><TD valign=bottom width=21.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=74 colspan=2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">2,521</P>
</TD></TR>
<TR><TD valign=bottom width=374><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-41.867px; font-size:11pt">Options exercised, credited to share capital</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(4,693)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=14.533><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=80.667><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=21.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=74 colspan=2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(4,693)</P>
</TD></TR>
<TR><TD valign=bottom width=374><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=14.533><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=80.667><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=21.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=74 colspan=2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=374><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-56.533px; font-size:11pt"><B>Balance, March 31, 2009</B></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">16,112</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=14.533><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=80.667><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">1,094</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=21.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=74 colspan=2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">17,206</P>
</TD></TR>
</TABLE>
<P style="line-height:18pt; margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always"><B>Eldorado Gold Corporation</B></P>
<P style="line-height:15pt; margin:0px; font-size:13pt">Notes to the Unaudited Interim Consolidated Financial Statements</P>
<P style="line-height:14pt; margin:0px; padding-bottom:4px; font-size:12pt; border-bottom:1px solid #000000"><B>March 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(Expressed in thousands of U.S. dollars, unless otherwise stated)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:14.5pt; margin:0px; font-size:12pt"><B>5. &nbsp;&nbsp;&nbsp;Shareholders&#146; equity </B><I>(continued)</I></P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:15pt; margin-top:0px; margin-bottom:-20px; padding-left:57.6px; text-indent:-28.8px; font-size:11pt">(c)</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:11px; padding-left:57.6px; font-size:11pt"><I>Accumulated other comprehensive income (loss)</I></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:11px; padding-left:57.6px; font-size:11pt" align=justify>Accumulated other comprehensive income includes the following:</P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=454.667></TD><TD width=95.333></TD><TD width=22></TD><TD width=95.333></TD></TR>
<TR><TD valign=bottom width=454.667><P>&nbsp;</P></TD><TD valign=bottom width=95.333><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>March 31, 2009</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD><TD valign=bottom width=22><P>&nbsp;</P></TD><TD valign=bottom width=95.333><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>December 31, 2008</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P>&nbsp;</P></TD><TD valign=bottom width=95.333><P>&nbsp;</P></TD><TD valign=bottom width=22><P>&nbsp;</P></TD><TD valign=bottom width=95.333><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=454.667><P style="line-height:11.5pt; margin:0px; padding-left:86.4px; text-indent:-28.8px; font-size:11pt">Balance, beginning of period</P>
</TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(5,971)</P>
</TD><TD valign=bottom width=22><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">214</P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P>&nbsp;</P></TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=22><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P style="line-height:11.5pt; margin:0px; padding-left:72px; text-indent:-14.4px; font-size:11pt">Unrealized gains (losses) on available-for-sale investment-net of taxes</P>
</TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">2,313</P>
</TD><TD valign=bottom width=22><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(6,431)</P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P style="line-height:11.5pt; margin:0px; padding-left:72px; text-indent:-14.4px; font-size:11pt">Other than temporary impairment charges</P>
</TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD><TD valign=bottom width=22><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">460</P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P style="line-height:11.5pt; margin:0px; padding-left:72px; text-indent:-14.4px; font-size:11pt">Realized gains on sale of available-for-sale investment transferred to net income</P>
</TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD><TD valign=bottom width=22><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(61)</P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P style="line-height:11.5pt; margin:0px; padding-left:72px; text-indent:-14.4px; font-size:11pt">Reversal on acquisition of Frontier</P>
</TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD><TD valign=bottom width=22><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(153)</P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P>&nbsp;</P></TD><TD style="border-top:1px solid #000000" valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD style="border-top:1px solid #000000" valign=bottom width=22><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD style="border-top:1px solid #000000" valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=454.667><P style="line-height:11.5pt; margin:0px; padding-left:86.4px; text-indent:-28.8px; font-size:11pt">Balance, end of period</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(3,658)</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=22><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=95.333><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(5,971)</P>
</TD></TR>
</TABLE>
<P style="line-height:14.5pt; margin-top:0px; margin-bottom:19.333px"><BR></P>
<P style="line-height:16.5pt; margin-top:0px; margin-bottom:-22px; padding-left:28.8px; text-indent:-28.8px; font-size:12pt"><B>6.</B></P>
<P style="line-height:14.5pt; margin-top:0px; margin-bottom:19.333px; padding-left:28.8px; font-size:12pt"><B>Stock-based compensation</B></P>
<P style="line-height:15pt; margin-top:0px; margin-bottom:-20px; padding-left:57.6px; text-indent:-28.8px; font-size:11pt">(a)</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:12.2px; padding-left:57.6px; font-size:11pt"><I>Share option plans</I></P>
<P style="line-height:13pt; margin:0px; padding-left:57.6px; font-size:11pt" align=justify>The continuity of share purchase options outstanding is as follows:</P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=340.8></TD><TD width=19.2></TD><TD width=96></TD><TD width=19.2></TD><TD width=96></TD><TD width=19.2></TD><TD width=96></TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Weighted average exercise price</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Cdn$</B></P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Number of options</B></P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Contractual weighted average remaining life</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>(years)</B></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:86.4px; font-size:11pt">Balance, December 31, 2008</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">5.71</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">13,438,914</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">3.9</P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-14.4px; font-size:11pt">Granted</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align=right>&nbsp;9.25</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">318,000</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-14.4px; font-size:11pt">Exercised</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align=right>&nbsp;4.21</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(2,639,361)</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-14.4px; font-size:11pt">Cancelled</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align=right>&nbsp;6.46</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(55,000)</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-28.8px; font-size:11pt">Balance, March 31, 2009</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align=right>&nbsp;5.92</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">11,062,553</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align=right>&nbsp;4.0</P>
</TD></TR>
</TABLE>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; padding-left:57.6px; font-size:11pt" align=justify>At March 31, 2009, 5,505,695 share purchase options (December 31, 2008 &#150; 6,119,729) with a weighted average exercise price of Cdn$6.38 (December 31, 2008 &#150; Cdn$5.69) had vested and were exercisable.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always"><B>Eldorado Gold Corporation</B></P>
<P style="line-height:15pt; margin:0px; font-size:13pt">Notes to the Unaudited Interim Consolidated Financial Statements</P>
<P style="line-height:14pt; margin:0px; padding-bottom:4px; font-size:12pt; border-bottom:1px solid #000000"><B>March 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(Expressed in thousands of U.S. dollars, unless otherwise stated)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:14.5pt; margin:0px; font-size:12pt"><B>6. &nbsp;&nbsp;&nbsp;Stock-based compensation </B><I>(continued)</I></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; padding-left:57.6px; font-size:11pt" align=justify>Options outstanding at March 31, 2009 are as follows:</P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=187.2></TD><TD width=9.6></TD><TD width=105.6></TD><TD width=9.6></TD><TD width=96></TD><TD width=9.6></TD><TD width=76.8></TD><TD width=9.6></TD><TD width=96></TD><TD width=9.6></TD><TD width=76.8></TD></TR>
<TR><TD valign=bottom width=187.2><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=297.6 colspan=5><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=center><B>&nbsp;Total options outstanding</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=182.4 colspan=3><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=center><B>&nbsp;Exercisable options</B></P>
</TD></TR>
<TR><TD valign=bottom width=187.2><P style="line-height:11.5pt; margin:0px; padding-left:86.4px; padding-right:9.6px; font-size:11pt" align=right><B>Range of</B></P>
<P style="line-height:11.5pt; margin:0px; padding-left:86.4px; padding-right:9.6px; font-size:11pt" align=right><B>exercise price</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Cdn$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=105.6><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;Shares</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;Weighted</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;average</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;remaining</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;contractual</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;life</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;(years)</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;Weighted</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;average</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;exercise</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;price</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;Cdn$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;Shares</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;Weighted</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;average</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;exercise</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;price</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;Cdn$</B></P>
</TD></TR>
<TR><TD valign=bottom width=187.2><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=105.6><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>&nbsp;</B></P>
</TD></TR>
<TR><TD valign=bottom width=187.2><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-28.8px; font-size:11pt">$3.00 to $3.99</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=105.6><P style="line-height:11.5pt; margin:0px; text-indent:48.333px; font-size:11pt">132,000</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:115.2px; font-size:11pt">1.2</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">3.47</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:38.733px; font-size:11pt">132,000</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">3.47</P>
</TD></TR>
<TR><TD valign=bottom width=187.2><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-28.8px; font-size:11pt">$4.00 to $4.99</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=105.6><P style="line-height:11.5pt; margin:0px; text-indent:37.333px; font-size:11pt">4,613,075</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:115.2px; font-size:11pt">4.7</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">4.88</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:38.733px; font-size:11pt">762,407</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">4.88</P>
</TD></TR>
<TR><TD valign=bottom width=187.2><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-28.8px; font-size:11pt">$5.00 to $5.99</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=105.6><P style="line-height:11.5pt; margin:0px; text-indent:37.333px; font-size:11pt">1,036,807</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:115.2px; font-size:11pt">2.7</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">5.45</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:38.733px; font-size:11pt">777,626</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">5.54</P>
</TD></TR>
<TR><TD valign=bottom width=187.2><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-28.8px; font-size:11pt">$6.00 to $6.99</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=105.6><P style="line-height:11.5pt; margin:0px; text-indent:37.333px; font-size:11pt">2,337,800</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:115.2px; font-size:11pt">4.0</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">6.44</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:27.733px; font-size:11pt">1,350,125</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">6.44</P>
</TD></TR>
<TR><TD valign=bottom width=187.2><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-28.8px; font-size:11pt">$7.00 to $7.99</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=105.6><P style="line-height:11.5pt; margin:0px; text-indent:37.333px; font-size:11pt">2,624,871</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:115.2px; font-size:11pt">3.3</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">7.20</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:27.733px; font-size:11pt">2,377,537</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">7.13</P>
</TD></TR>
<TR><TD valign=bottom width=187.2><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-28.8px; font-size:11pt">$9.00 to $9.99</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=105.6><P style="line-height:11.5pt; margin:0px; text-indent:48.333px; font-size:11pt">318,000</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:115.2px; font-size:11pt">5.0</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">9.25</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:38.733px; font-size:11pt">106,000</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">9.25</P>
</TD></TR>
<TR><TD valign=bottom width=187.2><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=105.6><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=187.2><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=105.6><P style="line-height:11.5pt; margin:0px; text-indent:30px; font-size:11pt">11,062,553</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:115.2px; font-size:11pt">4.0</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">5.92</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=96><P style="line-height:11.5pt; margin:0px; text-indent:27.733px; font-size:11pt">5,505,695</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; text-indent:41.533px; font-size:11pt">6.38</P>
</TD></TR>
</TABLE>
<P style="line-height:13pt; margin-top:0px; margin-bottom:11px"><BR></P>
<P style="line-height:15pt; margin-top:0px; margin-bottom:-20px; padding-left:57.6px; text-indent:-28.8px; font-size:11pt">(b)</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; padding-left:57.6px; font-size:11pt"><I>Stock-based compensation expense</I></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; padding-left:57.6px; font-size:11pt" align=justify>Stock-based compensation expense incurred to March 31, 2009 has been included in the undernoted expenses in the Consolidated Statements of Operations and Deficit as follows:</P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=340.8></TD><TD width=19.2></TD><TD width=96></TD><TD width=19.2></TD><TD width=96></TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=211.2 colspan=3><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=center><B>Three months ended March 31,</B></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2009</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2008</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-28.8px; font-size:11pt">Operating costs</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">756</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">434</P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-28.8px; font-size:11pt">Exploration</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">226</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">553</P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-28.8px; font-size:11pt">Administrative</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">1,539</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">2,670</P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:115.2px; text-indent:-28.8px; font-size:11pt">Total </P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">2,521</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">3,657</P>
</TD></TR>
</TABLE>
<P style="margin:0px"><BR></P>
<P style="line-height:15pt; margin-top:0px; margin-bottom:-20px; padding-left:57.6px; text-indent:-28.8px; font-size:11pt">(c)</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; padding-left:57.6px; font-size:11pt"><I>Bonus Cash Award Units plan</I></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; padding-left:57.6px; font-size:11pt" align=justify>As of March 31, 2009, all Bonus Cash Award Units (&#147;BCAUs&#148;) awarded by the Company were exercised. The Company paid $2,059 in bonus cash award units in the three months ended March 31, 2009. The related cost in the amount of $559 is included in general and administrative expense in the Consolidated Statements of Operations and Deficit. </P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<A NAME="_Ref161141313"></A><P style="line-height:13pt; margin:0px" align=justify><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always"><B>Eldorado Gold Corporation</B></P>
<P style="line-height:15pt; margin:0px; font-size:13pt">Notes to the Unaudited Interim Consolidated Financial Statements</P>
<P style="line-height:14pt; margin:0px; padding-bottom:4px; font-size:12pt; border-bottom:1px solid #000000"><B>March 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(Expressed in thousands of U.S. dollars, unless otherwise stated)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:16.5pt; margin-top:0px; margin-bottom:-22px; padding-left:28.8px; text-indent:-28.8px; font-size:12pt"><B>7.</B></P>
<P style="line-height:14.5pt; margin-top:0px; margin-bottom:8px; padding-left:28.8px; font-size:12pt"><B>Supplementary cash flow information</B></P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=340.8></TD><TD width=19.2></TD><TD width=96></TD><TD width=19.2></TD><TD width=96></TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=211.2 colspan=3><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=center><B>Three months ended March 31,</B></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2009</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2008</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:57.6px; text-indent:-28.8px; font-size:11pt">Changes in non-cash working capital</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:11.5pt; margin:0px"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:86.4px; text-indent:-28.8px; font-size:11pt">Accounts receivable and prepaids</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">21,177</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">179</P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:86.4px; text-indent:-28.8px; font-size:11pt">Inventories</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(6,392)</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">2,657</P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:86.4px; text-indent:-28.8px; font-size:11pt">Accounts payable and accrued liabilities</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">(7,575)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">9,198</P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">7,210</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">12,034</P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P>&nbsp;</P></TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:57.6px; text-indent:-28.8px; font-size:11pt">Supplementary cash flow information</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right"><BR></P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:86.4px; text-indent:-28.8px; font-size:11pt">Income taxes paid</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD></TR>
<TR><TD valign=bottom width=340.8><P style="line-height:11.5pt; margin:0px; padding-left:86.4px; text-indent:-28.8px; font-size:11pt">Interest paid</P>
</TD><TD valign=bottom width=19.2><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD><TD valign=bottom width=19.2><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 11.5pt; font-size: 11pt; margin: 0px" align="right">-</P>
</TD></TR>
</TABLE>
<P style="line-height:18pt; margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:16.5pt; margin-top:0px; margin-bottom:-22px; padding-left:28.8px; text-indent:-28.8px; font-size:12pt"><B>8.</B></P>
<P style="line-height:14.5pt; margin-top:0px; margin-bottom:19.333px; padding-left:28.8px; font-size:12pt"><B>Segmented information</B></P>
<P style="line-height:13pt; margin:0px; padding-left:28.8px; font-size:11pt" align=justify>During the period ended March 31, 2009, Eldorado had five reporting segments. The Brazil reporting segment includes the development activities of Vila Nova and exploration activities in Brazil. The Turkey reporting segment includes the operations of the Ki&#351;lada&#287; mine, development activities of the Efem&#231;ukuru project and exploration activities in Turkey. The China reporting segment includes the operations of the Tanjianshan mine and exploration activities in China. The Greece reporting segment includes development activities on the Perama Hill project. The other reporting segment includes the operations of the Company&#146;s corporate office and exploration activities in other countries.</P>
<P style="line-height:13pt; margin:0px" align=justify><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=256.667></TD><TD width=9.6></TD><TD width=63.733></TD><TD width=9.6></TD><TD width=56.4></TD><TD width=9.6></TD><TD width=56.4></TD><TD width=9.6></TD><TD width=63.733></TD><TD width=9.6></TD><TD width=63.733></TD><TD width=73.333></TD></TR>
<TR><TD valign=bottom width=256.667><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=415.733 colspan=10><P style="line-height:10.5pt; margin:0px" align=center><B>&nbsp;March 31, 2009</B></P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P style="line-height:10.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Turkey</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;China</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Brazil</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Greece</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Other</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Total</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Net mining interests</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:11.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-left:28.8px; padding-right:7.333px; text-indent:-28.8px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-left:28.8px; padding-right:7.333px; text-indent:-28.8px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P style="line-height:10.5pt; margin:0px; padding-left:57.6px; text-indent:-14.4px">Producing properties</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;190,403</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;163,623</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;356,155</P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P style="line-height:10.5pt; margin:0px; padding-left:57.6px; text-indent:-14.4px">Properties under development</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;59,392</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;42,738</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;207,674</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;309,804</P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P style="line-height:10.5pt; margin:0px; padding-left:57.6px; text-indent:-14.4px">Other mining interests</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;6,283</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;8,892</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;2,129</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;15,175</P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;256,078</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;163,623</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;51,630</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;207,674</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;2,129</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;681,134</P>
</TD></TR>
</TABLE>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=256.667></TD><TD width=9.6></TD><TD width=63.733></TD><TD width=9.6></TD><TD width=56.4></TD><TD width=9.6></TD><TD width=56.4></TD><TD width=9.6></TD><TD width=63.733></TD><TD width=9.6></TD><TD width=63.733></TD><TD width=73.333></TD></TR>
<TR><TD valign=bottom width=256.667><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=415.733 colspan=10><P style="line-height:10.5pt; margin:0px" align=center><B>&nbsp;December 31, 2008</B></P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P style="line-height:10.5pt; margin:0px"><BR></P>
</TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Turkey</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;China</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Brazil</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Greece</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Other</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Total</B></P>
<P style="line-height:10.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Net mining interests</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:11.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-left:28.8px; padding-right:7.333px; text-indent:-28.8px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-left:28.8px; padding-right:7.333px; text-indent:-28.8px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P style="line-height:10.5pt; margin:0px; padding-left:57.6px; text-indent:-14.4px">Producing properties</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;190,881</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;163,157</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;354,038</P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P style="line-height:10.5pt; margin:0px; padding-left:57.6px; text-indent:-14.4px">Properties under development</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;54,378</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;38,986</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;207,407</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;300,771</P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P style="line-height:10.5pt; margin:0px; padding-left:57.6px; text-indent:-14.4px">Other mining interests</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;4,151</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;7,359</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;-</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;1,990</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;13,500</P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=256.667><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;249,410</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;163,157</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=56.4><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;46,345</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;207,407</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=63.733><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;1,990</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=73.333><P style="line-height:10.5pt; margin:0px; padding-right:7.333px" align=right>&nbsp;668,309</P>
</TD></TR>
</TABLE>
<P style="margin:0px"><BR>
<BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always"><B>Eldorado Gold Corporation</B></P>
<P style="line-height:15pt; margin:0px; font-size:13pt">Notes to the Unaudited Interim Consolidated Financial Statements</P>
<P style="line-height:14pt; margin:0px; padding-bottom:4px; font-size:12pt; border-bottom:1px solid #000000"><B>March 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(Expressed in thousands of U.S. dollars, unless otherwise stated)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR>
<BR></P>
<P style="line-height:14.5pt; margin:0px; font-size:12pt"><B>8. &nbsp;&nbsp;&nbsp;Segmented information </B><I>(continued)</I></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt"><B>Operations</B></P>
<P style="margin:0px"><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=254.4></TD><TD width=9.6></TD><TD width=66></TD><TD width=9.6></TD><TD width=56.4></TD><TD width=9.6></TD><TD width=56.4></TD><TD width=9.6></TD><TD width=63.733></TD><TD width=9.6></TD><TD width=63.733></TD><TD width=73.333></TD><TD width=3.467></TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=421.467 colspan=11><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=center><B>&nbsp;For the three ended March 31, 2009</B></P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=top width=63.733><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=top width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Turkey</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;China</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Brazil</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=top width=63.733><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Greece</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=top width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Other</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Total</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=top width=63.733><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=top width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Revenue</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=top width=63.733><P style="margin:0px; padding-left:14.667px; padding-right:9.6px; text-indent:-3.333px" align=right>&nbsp;</P>
</TD><TD valign=top width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=63.733><P style="margin:0px; padding-left:28.8px; padding-right:9.6px; text-indent:-28.8px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="margin:0px; padding-left:28.8px; padding-right:9.6px; text-indent:-28.8px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:57.6px; text-indent:-14.4px">Gold sales</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;41,080</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;11,126</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=top width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;-</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;52,206</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:57.6px; text-indent:-14.4px">Interest and other income</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;76</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;32</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;2</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=top width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;-</P>
</TD><TD style="border-bottom:1px solid #000000" valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=63.733><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;86</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8 colspan=2><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;196</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;41,156</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;11,158</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;2</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=top width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;-</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;86</P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;52,402</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Expenses except the undernoted</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;13,160</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;5,690</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;350</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;(2,196)</P>
</TD><TD valign=bottom width=9.6><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;8,209</P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;25,213</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Depletion, depreciation and amortization</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;2,194</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;1,947</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;143</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;-</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;176</P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;4,460</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Exploration</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;1,234</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;191</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;162</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=top width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;-</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;475</P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;2,062</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-top:1px solid #000000" valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD style="border-top:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-top:1px solid #000000" valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD style="border-top:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-top:1px solid #000000" valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD style="border-top:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-top:1px solid #000000" valign=top width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;</P>
</TD><TD style="border-top:1px solid #000000" valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-top:1px solid #000000" valign=bottom width=63.733><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD style="border-top:1px solid #000000" valign=bottom width=76.8 colspan=2><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:11.5pt; margin:0px; padding-left:57.6px; padding-right:9.6px; text-indent:-28.8px">Income (loss) before tax</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;24,568</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;3,330</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;(653)</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=top width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;2,196</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;(8,774)</P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;20,667</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Income tax expense</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;(6,609)</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;(618)</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=top width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;-</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;(17)</P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;(7,244)</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Non-controlling interest</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;-</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;(362)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;-</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=top width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;-</P>
</TD><TD style="border-bottom:1px solid #000000" valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;-</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8 colspan=2><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;(362)</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=top width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=76.8 colspan=2><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Net income (loss)</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=66><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;17,959</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;2,350</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=56.4><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;(653)</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=top width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;2,196</P>
</TD><TD style="border-bottom:2px solid #000000" valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=63.733><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;(8,791)</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=76.8 colspan=2><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;13,061</P>
</TD></TR>
</TABLE>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=254.4></TD><TD width=9.6></TD><TD width=76.8></TD><TD width=9.6></TD><TD width=76.8></TD><TD width=9.6></TD><TD width=76.8></TD><TD width=9.6></TD><TD width=76.8></TD><TD width=9.6></TD><TD width=76.8></TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=422.4 colspan=9><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=center><B>&nbsp;For the three months ended March 31, 2008</B></P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=top width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=top width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Turkey</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;China</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Brazil</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=top width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Corporate</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD><TD valign=top width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;Total</B></P>
<P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;$</B></P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right><B>&nbsp;</B></P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=top width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=top width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Revenue</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=top width=76.8><P style="margin:0px; padding-left:14.667px; padding-right:9.6px; text-indent:-3.333px" align=right>&nbsp;</P>
</TD><TD valign=top width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="margin:0px; padding-left:28.8px; padding-right:9.6px; text-indent:-28.8px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:57.6px; text-indent:-14.4px">Gold sales</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;22,314</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;46,361</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=top width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;-</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;68,675</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:57.6px; text-indent:-14.4px">Interest and other income</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;89</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;95</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;2,768</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=top width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;756</P>
</TD><TD style="border-bottom:1px solid #000000" valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;3,708</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;22,403</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;&nbsp;&nbsp;46,456</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;2,768</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=top width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;756</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;72,383</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Expenses except the undernoted</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;10,794</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;14,907</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;1,129</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;7,810</P>
</TD><TD valign=bottom width=9.6><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;34,640</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Depletion, depreciation and amortization</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;889</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;7,852</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;-</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;83</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;8,824</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Exploration</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;1,243</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;92</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;448</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=top width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;408</P>
</TD><TD style="border-bottom:1px solid #000000" valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;2,191</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=top width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:11.5pt; margin:0px; padding-left:57.6px; padding-right:9.6px; text-indent:-28.8px">Income (loss) before tax</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;9,477</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;23,605</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;1,191</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=top width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;(7,545)</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;26,728</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Income tax recovery (expense)</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;(1,703)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;(3,919)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;(352)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=top width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;(17)</P>
</TD><TD style="border-bottom:1px solid #000000" valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;(5,991)</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P>&nbsp;</P></TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;</P>
</TD><TD valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=top width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;</P>
</TD><TD valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD valign=bottom width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=254.4><P style="line-height:10.5pt; margin:0px; padding-left:43.2px; text-indent:-14.4px">Net income (loss)</P>
</TD><TD valign=bottom width=9.6><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;7,774</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;19,686</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=76.8><P style="line-height:11.5pt; margin:0px; padding-right:9.6px" align=right>&nbsp;839</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=top width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;(7,562)</P>
</TD><TD style="border-bottom:2px solid #000000" valign=top width=9.6><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align="right">&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=76.8><P style="line-height: 11.5pt; margin: 0px; padding-right: 9.6px" align=right>&nbsp;20,737</P>
</TD></TR>
</TABLE>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
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</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99.2
<SEQUENCE>5
<FILENAME>mda.htm
<DESCRIPTION>MD&A
<TEXT>
<!doctype html public "-//IETF//DTD HTML//EN">
<HTML>
<HEAD>
<TITLE>CC Filed by Filing Services Canada Inc. 403-717-3898</TITLE>
<META NAME="author" CONTENT="Janie Foo">
<META NAME="date" CONTENT="05/08/2009">
</HEAD>
<BODY style="line-height:12pt; font-family:Times New Roman; font-size:10pt; color:#000000">
<P style="line-height:24pt; margin:0px; font-size:22pt; color:#DFDFDF" align="right"><B><img border="0" src="newsrelease001.jpg" width="250" height="99">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</B></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=center><B>MANAGEMENT&#146;S DISCUSSION and ANALYSIS<BR>
OF FINANCIAL CONDITION AND RESULTS OF OPERATIONS</B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=center><B><U>THREE-MONTH PERIOD ENDED MARCH 31, 2009 </U></B></P>
<P style="margin-top:3.667px; margin-bottom:0px" align=center><BR></P>
<P style="line-height:13pt; margin-top:3.667px; margin-bottom:0px; font-size:11pt" align=center><B>T A B L E &nbsp;&nbsp;O F &nbsp;&nbsp;C O N T E N T S</B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; text-indent:653.467px; font-size:11pt"><U>Page</U></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">1.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">2009 - Periods in Review</P>
<P style="line-height:24pt; margin:0px; text-indent:674.667px; font-size:11pt">1</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">2.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Highlights of the Quarter Ended March 31, 2009</P>
<P style="line-height:24pt; margin:0px; text-indent:674.667px; font-size:11pt">1</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">3.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Operations</P>
<P style="line-height:24pt; margin:0px; text-indent:674.667px; font-size:11pt">1</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">4.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Development</P>
<P style="line-height:24pt; margin:0px; text-indent:674.667px; font-size:11pt">3</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">5.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Exploration</P>
<P style="line-height:24pt; margin:0px; text-indent:674.667px; font-size:11pt">4</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">6.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Production</P>
<P style="line-height:24pt; margin:0px; text-indent:674.667px; font-size:11pt">5</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">7.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Legal</P>
<P style="line-height:24pt; margin:0px; text-indent:674.667px; font-size:11pt">5</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">8.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Results of Operations</P>
<P style="line-height:24pt; margin:0px; text-indent:674.667px; font-size:11pt">6</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">9.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Outlook</P>
<P style="line-height:24pt; margin:0px; text-indent:674.667px; font-size:11pt">8</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">10.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Liquidity</P>
<P style="line-height:24pt; margin:0px; text-indent:674.667px; font-size:11pt">8</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">11.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Capital Resources</P>
<P style="line-height:24pt; margin:0px; text-indent:674.667px; font-size:11pt">9</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">12.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Summary of Quarterly Results</P>
<P style="line-height:24pt; margin:0px; text-indent:667.333px; font-size:11pt">10</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">13.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Off-Balance Sheet Arrangements</P>
<P style="line-height:24pt; margin:0px; text-indent:667.333px; font-size:11pt">10</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">14.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Adoption of New Accounting Standards</P>
<P style="line-height:24pt; margin:0px; text-indent:667.333px; font-size:11pt">10</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">15.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Non-GAAP Measures</P>
<P style="line-height:24pt; margin:0px; text-indent:667.333px; font-size:11pt">11</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">16.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Other MD&amp;A Requirements</P>
<P style="line-height:24pt; margin:0px; text-indent:667.333px; font-size:11pt">12</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">17.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Disclosure of Outstanding Share Data</P>
<P style="line-height:24pt; margin:0px; text-indent:667.333px; font-size:11pt">12</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">18.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Management&#146;s Report on Internal Control over Financial Reporting</P>
<P style="line-height:24pt; margin:0px; text-indent:667.333px; font-size:11pt">13</P>
<A NAME="_Hlt161563708"></A><A NAME="_Hlt161563709"></A><P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; font-size:11pt">19.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; text-indent:36.667px; font-size:11pt">Cautionary Statement on Forward-Looking Information</P>
<P style="line-height:24pt; margin:0px; text-indent:667.333px; font-size:11pt">13</P>
<P style="margin:0px"><BR>
<BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:24pt; margin:0px; font-size:22pt; color:#DFDFDF"><B>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</B></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
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<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt"><B>1.</B></P>
<P style="line-height:13pt; margin:0px; text-indent:28.8px; font-size:11pt"><B>2009 &#150; Periods in Review</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Eldorado Gold Corporation (&#147;Eldorado&#148;, &#147;we&#148; or &#147;the Company&#148;) is one of the world&#146;s lowest cost gold producers engaged in gold mining and related activities, including exploration, development, extraction, processing and reclamation. We own and operate the Ki&#351;lada&#287; gold mine (&#8220;Ki&#351;lada&#287;&#8221;) in Turkey and the Tanjianshan gold mine (&#8220;TJS&#8221;) in China, and we are developing gold projects in Turkey and Greece as well as an iron ore project in Brazil<FONT style="font-family:TimesNewRomanPSMT">. </FONT>Based in Vancouver, Canada, Eldorado is listed on the Toronto Stock Exchange (TSX) under the symbol ELD and on the New York Stock Exchange Alternext (NYSE-A) under the symbol EGO. ELD is on the S&amp;P/TSX Global Gold Index and EGO is part of the AMEX Gold BUGS Index. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; font-size:11pt" align=justify>This Management&#146;s Discussion and Analysis (&#147;MD&amp;A&#148;) should be read in conjunction with our audited consolidated financial statements for the year ended December&nbsp;31, 2008 and the unaudited interim consolidated financial statements for the period ended March 31, 2009. All dollar amounts in this MD&amp;A are in United States dollars unless stated otherwise. This MD&amp;A is prepared as of May 5, 2009.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>2.</B></P>
<P style="line-height:13pt; margin:0px; text-indent:28.8px; font-size:11pt" align=justify><B>Highlights of the Quarter Ended March 31, 2009</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>During the quarter ended March 31, 2009 (&#147;Q1 2009&#148;), we:</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-24px; font-family:Symbol; font-size:11pt" align=justify>&#183;</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>Sold 57,459 ounces of gold from TJS and Ki&#351;lada&#287; at a realized average price of $909, compared to 73,604 ounces at $933 per ounce for the quarter ended March 31, 2008 (&#8220;Q1 2008&#8221;),</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-24px; font-family:Symbol; font-size:11pt" align=justify>&#183;</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>Produced 61,426 ounces of gold at a cash operating cost of $296 per ounce (Q1 2008 &#8211; 67,234 ounces at $213 per ounce),</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-24px; font-family:Symbol; font-size:11pt" align=justify>&#183;</P>
<P style="line-height:13pt; margin:0px; padding-left:48px; font-size:11pt" align=justify>Reported earnings of $0.04 per share (Q1 2008 &#8211; $0.06 per share) and</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:-17.333px; padding-left:48px; text-indent:-24px; font-family:Symbol; font-size:11pt" align=justify>&#183;</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; padding-left:48px; font-size:11pt" align=justify>Began commissioning the <A NAME="OLE_LINK7"></A><A NAME="OLE_LINK8"></A>sulphide ore processing facility (&#8220;the roaster&#8221;) at TJS.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>3.</B></P>
<P style="line-height:14pt; margin:0px; text-indent:28.8px; font-size:12pt" align=justify><B>Operations</B></P>
<A NAME="OLE_LINK3"></A><A NAME="OLE_LINK4"></A><P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-family:TimesNewRomanPS-BoldItalicMT; font-size:11pt"><B><I>Ki&#351;lada&#287;</I></B></P>
<A NAME="_1301924861"></A><A NAME="_1301984562"></A><A NAME="_1302410527"></A><A NAME="_1302414829"></A><A NAME="_1302414997"></A><A NAME="_1302415048"></A><A NAME="_1302415103"></A><A NAME="_1302415171"></A><A NAME="_1302415296"></A><A NAME="_1302415335"></A><A NAME="_1302418231"></A><A NAME="_1302418270"></A><A NAME="_1302418584"></A><A NAME="_1302418649"></A><A NAME="_1302418696"></A>
<P style="margin:0px" align=center><BR></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center><TR height=0 style="font-size:0"><TD width=185.133></TD><TD width=84.333></TD><TD width=84.333></TD><TD width=84.333></TD><TD width=84.333></TD><TD width=84.333></TD></TR>
<TR><TD valign=bottom width=185.133 height=20><P style="margin:0px">Kisladag</P>
</TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P>&nbsp;</P></TD><TD style="background-color:#FFFF99; border-right:1px solid #000000; border-bottom:1px solid #000000" width=84.333 height=20><P style="margin:0px">Q1 2009 </P>
</TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" width=84.333 height=20><P style="margin:0px">Q4 2008</P>
</TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" width=84.333 height=20><P style="margin:0px">Q3 2008 </P>
</TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" width=84.333 height=20><P style="margin:0px">Q2 2008</P>
</TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" width=84.333 height=20><P style="margin:0px">Q1 2008 </P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Ore mined (tonnes)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;2,245,458&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;2,495,974&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;2,754,734&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;2,115,596&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;681,855&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Total material mined (tonnes)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;4,960,840&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;3,848,676&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;4,276,776&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;3,295,054&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;861,908&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Strip ratio</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>1.21 : 1</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>0.54 : 1</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>0.55 : 1</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>0.56 : 1</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>0.26 : 1</P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Ore to pad (tonnes)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;2,084,714&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;2,371,101&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;2,562,343&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;2,092,957&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;529,480&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Gold grade (g/t)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align="right">&nbsp;&nbsp;1.34&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align="right">&nbsp;&nbsp;1.34&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align="right">&nbsp;&nbsp;1.05&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align="right">&nbsp;&nbsp;1.47&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align="right">&nbsp;&nbsp;1.18&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Gold production (ounces)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;46,192&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;60,753&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;46,863&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;55,490&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;27,228&nbsp;</P>
</TD></TR>
</TABLE>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR></P>
<P style="margin:0px"><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(1)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
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<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-family:TimesNewRomanPSMT; font-size:11pt" align=justify>During Q1 2009, approximately 2,084,714 tonnes of ore were placed on the leach pad at an average grade of 1.34 g/t (Q1 2008 - 529,480 tonnes at 1.18 g/t), and we produced 46,192 ounces of gold at an average cash operating cost of $274 per ounce (Q1 2008 &#150; 27,228 ounces at $217 per ounce). The strip ratio increased to 1.21:1 (waste:ore) as expected compared to the projected life-of-mine strip ratio of 1.08:1 (waste:ore). </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-family:TimesNewRomanPSMT; font-size:11pt" align=justify>Higher than normal precipitation in Q1 2009 resulted in lower gold production compared to the quarter ended December 31, 2008 (&#147;Q4 2008&#8221;). At Ki&#351;lada&#287;, 324 mm (12.8 inches) of rain fell during Q1 2009 compared with an historical average for the first quarter of 140 mm (5.5 inches). This affected screening and stacking production and also slowed gold recovery due to diluted leach solution grades. The heaviest precipitation occurred in January and February, which reduced gold production during these months. By March, gold production had returned to normal, and, we still expect to meet our 2009 Ki&#351;lada&#287; target of 230,000 to 240,000 produced ounces of gold at a cash cost of $265 per ounce for the year. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-family:TimesNewRomanPSMT; font-size:11pt" align=justify>Capital expenditures at Ki&#351;lada&#287; for the quarter were $1.6 million,<FONT style="font-family:Times New Roman"> mostly related to leach pad expansion.</FONT></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-family:TimesNewRomanPS-BoldItalicMT; font-size:11pt"><B><I>TJS</I></B></P>
<A NAME="_1301924827"></A><A NAME="_1301984513"></A><A NAME="_1302415189"></A><A NAME="_1302415221"></A><A NAME="_1302418166"></A><A NAME="_1302418205"></A><A NAME="_1302418213"></A><A NAME="_1302418259"></A><A NAME="_1302418462"></A><A NAME="_1302418535"></A><A NAME="_1302418561"></A><A NAME="_1302418574"></A><A NAME="_1302418601"></A><A NAME="_1302418667"></A><A NAME="_1302418708"></A><P style="margin:0px" align=center><BR></P>
<P style="margin:0px" align=center><BR></P>
<TABLE style="font-size:10pt" cellspacing=0 align=center><TR height=0 style="font-size:0"><TD width=185.133></TD><TD width=84.333></TD><TD width=84.333></TD><TD width=84.333></TD><TD width=84.333></TD><TD width=84.333></TD></TR>
<TR><TD valign=bottom width=185.133 height=20><P style="margin:0px; font-family:Arial">Tanjianshan</P>
</TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P>&nbsp;</P></TD><TD style="background-color:#FFFF99; border-right:1px solid #000000; border-bottom:1px solid #000000" width=84.333 height=20><P style="margin:0px">Q1 2009 </P>
</TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" width=84.333 height=20><P style="margin:0px">Q4 2008</P>
</TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" width=84.333 height=20><P style="margin:0px">Q3 2008 </P>
</TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" width=84.333 height=20><P style="margin:0px">Q2 2008</P>
</TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" width=84.333 height=20><P style="margin:0px">Q1 2008 </P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Ore mined (tonnes)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;79,669&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;536,108&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;427,250&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;175,704&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;296,165&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Total material mined (tonnes)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;811,630&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;4,719,002&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;4,564,607&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;2,956,459&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;820,376&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Strip ratio</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>9.19 : 1</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>7.80 : 1</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>9.68 : 1</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>15.83 : 1</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>1.77 : 1</P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Ore processed (tonnes)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;228,066&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;216,273&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;226,126&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;193,035&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;223,395&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Gold grade (g/t)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;3.97&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;4.33&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;4.16&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;6.04&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;6.83&nbsp;</P>
</TD></TR>
<TR><TD style="background-color:#FFFFFF" valign=bottom width=185.133 height=20><P style="margin:0px">Gold production (ounces)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;15,234&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;21,092&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;25,480&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;31,890&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=84.333 height=20><P style="margin:0px" align=right>&nbsp;&nbsp;40,006&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=185.133 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=84.333 height=20><P>&nbsp;</P></TD></TR>
</TABLE>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-family:TimesNewRomanPSMT; font-size:11pt" align=justify>During Q1 2009, we milled a total of 228,066 tonnes of ore at TJS at an average grade of 3.97 g/t (Q1 2008 &#150; 223,395 tonnes at 6.83 g/t), resulting in 15,234 ounces of gold produced at an average cash operating cost of $362 per ounce (Q1 2008 &#150; 40,006 ounces at $211 per ounce). During the first half of 2008, TJS completed mining of higher grade oxide ore from the <FONT style="font-family:Times New Roman">Qinlongtan (&#147;QLT&#148;)</FONT> pit and began prestripping of waste and mining of lower grade sulphide and transition ore from the Jinlonggou<FONT style="font-family:Times New Roman"> (&#147;JLG&#148;)</FONT> pit. During 2008 and extending into Q1 2009 TJS encountered high strip ratios related to the prestripping activities of the JLG pit. The major push to expose the higher grade sulphide ore was largely completed in Q1 2009 and strip ratios are expected to decline over the rest of 2009. Ore pr
oduction in Q1 2009 was lower than production in Q1 2008 as transition and sulphide ore stockpiles built up during the prestripping of the JLG pit were sufficient to meet mill feed requirements, providing TJS with the opportunity to give the mining contractor an extended annual break. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-family:TimesNewRomanPSMT; font-size:11pt" align=justify>Capital expenditures during Q1 2009 were $3.8 million, with the majority of the capital spending related to the <FONT style="font-family:Times New Roman">roaster</FONT> construction and commissioning program. During Q1 2009, roaster availability steadily increased within expected ranges. Commissioning issues to date have been predominately mechanical in nature while the metallurgical response of the roaster has met expectations.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-family:TimesNewRomanPSMT; font-size:11pt" align=justify>In 2009, we expect to produce 95,000 to 100,000 ounces at a cash cost of $385 per ounce.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(2)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>4.</B></P>
<P style="line-height:14pt; margin:0px; text-indent:28.8px; font-size:12pt" align=justify><B>Development</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Efem&#231;ukuru</I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>During the quarter, we continued to carry out infill drilling of the north ore shoot and to explore the along-strike and down-dip extensions. We are also continuing with geotechnical drilling in the main ore body to support detailed mine planning. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Poor weather conditions throughout the quarter affected construction at the site, delaying preparations of the north portal site and the construction of internal access roads. However, the installation of a major retaining wall at the concentrator site continues on schedule to allow for the planned start of civil works for the concentrator building in July. We have also let tenders for constructing the site-wide stormwater catchment system and for creating a steel bridge that will provide the main access to the plant site. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Engineering and procurement continue on schedule with design moving to the detailed engineering phase for the concentrator and ancillary facilities at the mine site. All major equipment packages have been defined and tendered, with orders placed in most cases. We have retained an inspection agency to work with the manufacturer of the semi-autogenous grind (&#147;SAG&#148;) and ball mills to ensure the technical specifications and proposed delivery schedule are met. &nbsp;</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>The mining contractor has started to set up the offsite camp facilities and expects to have workers on site by June 30, 2009.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>Spending during the quarter totaled $5.5 million.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Vila Nova </I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Due to weak global demand for iron ore, and the related decline in iron ore prices, we have decided to put Vila Nova on care and maintenance status after we complete plant commissioning in Q2 2009. Our engineers are reviewing the mine&#146;s requirements during care and maintenance as well as any contractual obligations remaining after commissioning in order for us to make an accrual for any loss contingencies related thereto.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>During Q1 2009, we completed construction and started commissioning the processing plant. We began ore and waste mining on the upper benches and stockpiled ore for plant commissioning. We spent $3.9 million at Vila Nova during the quarter.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Perama Hill </I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>We are continuing to prepare a revised preliminary environmental impact assessment (&#147;PEIA&#148;) that we will submit to Greek authorities in Q2 2009. We expect approval of the PEIA prior to the end of 2009. We will then prepare and submit the full environmental impact assessment (&#147;EIA&#148;) in the first quarter of 2010, and we expect approval of the full EIA during 2011, with construction beginning shortly afterwards. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>We are also continuing to prepare a National Instrument 43-101 report that incorporates information from recently updated data on capital and operating costs as well as a revised mine production plan. We are planning to file the report in the third quarter of 2009.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(3)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>We have met with local and regional officials to discuss the project and our approach to developing and operating the Perama Hill mine. The meetings have been extremely positive and informative for all parties.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; font-size:11pt" align=justify>We spent $0.3 million on the Perama Hill project during Q1 2009.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>5.</B></P>
<P style="line-height:14pt; margin:0px; text-indent:28.8px; font-size:12pt" align=justify><B>Exploration</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Turkey</I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>At Efem&#231;ukuru, diamond drilling consisted of 6 holes for 1,210 meters in the north ore shoot. The purpose of this program is to upgrade inferred resources into measured and indicated resources and to test along strike and down dip extents of the ore zone. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>Our reconnaissance work focused on the Sayacik project, which is immediately adjacent to the <FONT style="font-family:TimesNewRomanPSMT">Ki&#351;lada&#287;</FONT> mine. During the quarter, we conducted additional soil sampling and outcrop mapping, and started a ground magnetic geophysical survey. Permitting of drilling sites continued in Q1 2009 and drilling at Sayacik started in April. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Brazil</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>In Brazil, diamond drilling continued at the Tocantinzinho project in Para State. During Q1 2009, we drilled 16 holes for 4,203 meters, including 1,500 meters of drilling for metallurgical samples.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>China</I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>At TJS, we started a rotary air blast (&#147;RAB&#148;) drilling program to test the area covered by alluvium between the QLT and JLG deposits. We drilled a total of 41 short RAB holes during the quarter.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(4)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>6.</B></P>
<P style="line-height:14pt; margin:0px; text-indent:28.8px; font-size:12pt" align=justify><B>Production</B></P>
<P style="margin:0px" align=justify><BR></P>
<A NAME="OLE_LINK1"></A><A NAME="OLE_LINK2"></A><TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=241.2></TD><TD width=72></TD><TD width=75.467></TD><TD width=72></TD><TD width=78></TD><TD width=72></TD></TR>
<TR><TD width=241.2><P>&nbsp;</P></TD><TD style="border-right:1px solid #000000; border-bottom:1px solid #000000" width=72><P style="margin:0px" align=justify>&nbsp;Q1 2009 </P>
</TD><TD style="border-bottom:1px solid #000000" width=75.467><P style="margin:0px" align=justify>&nbsp;&nbsp;Q4 2008</P>
</TD><TD style="border-bottom:1px solid #000000" width=72><P style="margin:0px" align=justify>&nbsp;&nbsp;Q3 2008</P>
</TD><TD style="border-bottom:1px solid #000000" width=78><P style="margin:0px" align=justify>&nbsp;Q2 2008 </P>
</TD><TD style="border-bottom:1px solid #000000" width=72><P style="margin:0px" align=justify>&nbsp;Q1 2008 </P>
</TD></TR>
<TR><TD width=241.2><P style="line-height:11pt; margin:0px; font-size:9pt" align=justify><B>TOTAL GOLD PRODUCTION</B></P>
</TD><TD style="border-right:1px solid #000000" width=72><P>&nbsp;</P></TD><TD width=75.467><P>&nbsp;</P></TD><TD width=72><P>&nbsp;</P></TD><TD width=78><P>&nbsp;</P></TD><TD width=72><P>&nbsp;</P></TD></TR>
<TR><TD width=241.2><P style="margin:0px" align=justify>Total ounces produced</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" width=72><P style="margin:0px" align=right>61,426</P>
</TD><TD width=75.467><P style="margin:0px" align=right>81,845</P>
</TD><TD width=72><P style="margin:0px" align=right>72,343</P>
</TD><TD width=78><P style="margin:0px" align=right>87,380</P>
</TD><TD width=72><P style="margin:0px" align=right>67,234</P>
</TD></TR>
<TR><TD width=241.2><P style="margin:0px" align=justify>Cash operating cost ($/oz) <SUP>1, 4</SUP></P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" width=72><P style="margin:0px" align=right>296</P>
</TD><TD width=75.467><P style="margin:0px" align=right>298</P>
</TD><TD width=72><P style="margin:0px" align=right>283</P>
</TD><TD width=78><P style="margin:0px" align=right>229</P>
</TD><TD width=72><P style="margin:0px" align=right>213</P>
</TD></TR>
<TR><TD width=241.2><P style="margin:0px" align=justify>Total cash cost ($/oz) <SUP>2, 4</SUP></P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" width=72><P style="margin:0px" align=right>315</P>
</TD><TD width=75.467><P style="margin:0px" align=right>319</P>
</TD><TD width=72><P style="margin:0px" align=right>313</P>
</TD><TD width=78><P style="margin:0px" align=right>259</P>
</TD><TD width=72><P style="margin:0px" align=right>268</P>
</TD></TR>
<TR><TD width=241.2><P style="margin:0px" align=justify>Total production cost ($/oz) <SUP>3, 4</SUP></P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" width=72><P style="margin:0px" align=right>375</P>
</TD><TD width=75.467><P style="margin:0px" align=right>404</P>
</TD><TD width=72><P style="margin:0px" align=right>402</P>
</TD><TD width=78><P style="margin:0px" align=right>293</P>
</TD><TD width=72><P style="margin:0px" align=right>393</P>
</TD></TR>
<TR><TD width=241.2><P style="margin:0px" align=justify>Realized price ($/oz sold)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" width=72><P style="margin:0px" align=right>909</P>
</TD><TD width=75.467><P style="margin:0px" align=right>800</P>
</TD><TD width=72><P style="margin:0px" align=right>870</P>
</TD><TD width=78><P style="margin:0px" align=right>904</P>
</TD><TD width=72><P style="margin:0px" align=right>933</P>
</TD></TR>
<TR><TD width=241.2><P>&nbsp;</P></TD><TD style="border-right:1px solid #000000" width=72><P>&nbsp;</P></TD><TD width=75.467><P>&nbsp;</P></TD><TD width=72><P>&nbsp;</P></TD><TD width=78><P>&nbsp;</P></TD><TD width=72><P>&nbsp;</P></TD></TR>
<TR><TD width=241.2><P style="line-height:11pt; margin:0px; font-size:9pt" align=justify><B>KISLADAG GOLD MINE <SUP>5</SUP></B></P>
</TD><TD style="border-right:1px solid #000000" width=72><P>&nbsp;</P></TD><TD width=75.467><P>&nbsp;</P></TD><TD width=72><P>&nbsp;</P></TD><TD width=78><P>&nbsp;</P></TD><TD width=72><P>&nbsp;</P></TD></TR>
<TR><TD width=241.2><P style="margin:0px" align=justify>Total ounces produced</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" width=72><P style="margin:0px" align=right>46,192</P>
</TD><TD width=75.467><P style="margin:0px" align=right>60,753</P>
</TD><TD width=72><P style="margin:0px" align=right>46,863</P>
</TD><TD width=78><P style="margin:0px" align=right>55,490</P>
</TD><TD width=72><P style="margin:0px" align=right>27,228</P>
</TD></TR>
<TR><TD width=241.2><P style="margin:0px" align=justify>Tonnes to pad</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" width=72><P style="margin:0px" align=right>2,084,714</P>
</TD><TD width=75.467><P style="margin:0px" align=right>2,371,101</P>
</TD><TD width=72><P style="margin:0px" align=right>2,562,343</P>
</TD><TD width=78><P style="margin:0px" align=right>2,092,957</P>
</TD><TD width=72><P style="margin:0px" align=right>529,480</P>
</TD></TR>
<TR><TD width=241.2><P style="margin:0px" align=justify>Grade (grams/tonne) </P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" width=72><P style="margin:0px" align=right>1.34</P>
</TD><TD width=75.467><P style="margin:0px" align=right>1.34</P>
</TD><TD width=72><P style="margin:0px" align=right>1.05</P>
</TD><TD width=78><P style="margin:0px" align=right>1.47</P>
</TD><TD width=72><P style="margin:0px" align=right>1.18</P>
</TD></TR>
<TR><TD width=241.2><P style="margin:0px" align=justify>Cash operating cost ($/oz) <SUP>4</SUP></P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" width=72><P style="margin:0px" align=right>274</P>
</TD><TD width=75.467><P style="margin:0px" align=right>279</P>
</TD><TD width=72><P style="margin:0px" align=right>270</P>
</TD><TD width=78><P style="margin:0px" align=right>230</P>
</TD><TD width=72><P style="margin:0px" align=right>217</P>
</TD></TR>
<TR><TD width=241.2><P style="margin:0px" align=justify>Total cash cost ($/oz) <SUP>2, 4</SUP></P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" width=72><P style="margin:0px" align=right>276</P>
</TD><TD width=75.467><P style="margin:0px" align=right>281</P>
</TD><TD width=72><P style="margin:0px" align=right>273</P>
</TD><TD width=78><P style="margin:0px" align=right>232</P>
</TD><TD width=72><P style="margin:0px" align=right>218</P>
</TD></TR>
<TR><TD width=241.2><P style="margin:0px" align=justify>Total production cost ($/oz) <SUP>3, 4</SUP></P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" width=72><P style="margin:0px" align=right>315</P>
</TD><TD width=75.467><P style="margin:0px" align=right>314</P>
</TD><TD width=72><P style="margin:0px" align=right>310</P>
</TD><TD width=78><P style="margin:0px" align=right>273</P>
</TD><TD width=72><P style="margin:0px" align=right>246</P>
</TD></TR>
<TR><TD width=241.2><P>&nbsp;</P></TD><TD style="border-right:1px solid #000000" width=72><P>&nbsp;</P></TD><TD width=75.467><P>&nbsp;</P></TD><TD width=72><P>&nbsp;</P></TD><TD width=78><P>&nbsp;</P></TD><TD width=72><P>&nbsp;</P></TD></TR>
<TR><TD width=241.2><P style="line-height:11pt; margin:0px; font-size:9pt" align=justify><B>TJS GOLD MINE </B></P>
</TD><TD style="border-right:1px solid #000000" width=72><P>&nbsp;</P></TD><TD width=75.467><P>&nbsp;</P></TD><TD width=72><P>&nbsp;</P></TD><TD width=78><P>&nbsp;</P></TD><TD width=72><P>&nbsp;</P></TD></TR>
<TR><TD valign=top width=241.2><P style="margin:0px" align=justify>Total ounces produced</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=72><P style="margin:0px" align=right>15,234</P>
</TD><TD valign=top width=75.467><P style="margin:0px" align=right>21,092</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>25,480</P>
</TD><TD valign=top width=78><P style="margin:0px" align=right>31,890</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>40,006</P>
</TD></TR>
<TR><TD valign=top width=241.2><P style="margin:0px" align=justify>Tonnes milled</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=72><P style="margin:0px" align=right>228,066</P>
</TD><TD valign=top width=75.467><P style="margin:0px" align=right>216,273</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>226,126</P>
</TD><TD valign=top width=78><P style="margin:0px" align=right>193,035</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>223,395</P>
</TD></TR>
<TR><TD valign=top width=241.2><P style="margin:0px" align=justify>Grade (grams/tonne) </P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=72><P style="margin:0px" align=right>3.97</P>
</TD><TD valign=top width=75.467><P style="margin:0px" align=right>4.33</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>4.16</P>
</TD><TD valign=top width=78><P style="margin:0px" align=right>6.04</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>6.83</P>
</TD></TR>
<TR><TD valign=top width=241.2><P style="margin:0px" align=justify>Cash operating cost ($/oz) <SUP>4</SUP></P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=72><P style="margin:0px" align=right>362</P>
</TD><TD valign=top width=75.467><P style="margin:0px" align=right>352</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>306</P>
</TD><TD valign=top width=78><P style="margin:0px" align=right>229</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>211</P>
</TD></TR>
<TR><TD valign=top width=241.2><P style="margin:0px" align=justify>Total cash cost ($/oz) <SUP>2, 4</SUP></P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=72><P style="margin:0px" align=right>432</P>
</TD><TD valign=top width=75.467><P style="margin:0px" align=right>429</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>387</P>
</TD><TD valign=top width=78><P style="margin:0px" align=right>305</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>302</P>
</TD></TR>
<TR><TD valign=top width=241.2><P style="margin:0px" align=justify>Total production cost ($/oz) <SUP>3, 4</SUP></P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=72><P style="margin:0px" align=right>557</P>
</TD><TD valign=top width=75.467><P style="margin:0px" align=right>664</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>571</P>
</TD><TD valign=top width=78><P style="margin:0px" align=right>327</P>
</TD><TD valign=top width=72><P style="margin:0px" align=right>493</P>
</TD></TR>
</TABLE>
<P style="line-height:10pt; margin-top:4.467px; margin-bottom:0px; padding-left:86.4px; text-indent:-28.8px; font-size:8pt" align=justify>Notes</P>
<P style="line-height:10pt; margin-top:0px; margin-bottom:-13.333px; padding-left:73.333px; text-indent:-15.733px; font-size:8pt" align=justify><SUP>1</SUP></P>
<P style="line-height:10pt; margin:0px; padding-left:73.333px; font-size:8pt" align=justify>Cost figures calculated in accordance with the Gold Institute Standard.</P>
<P style="line-height:10pt; margin-top:0px; margin-bottom:-13.333px; padding-left:73.333px; text-indent:-15.733px; font-size:8pt" align=justify><SUP>2</SUP></P>
<P style="line-height:10pt; margin:0px; padding-left:73.333px; font-size:8pt" align=justify>Cash operating costs, plus royalties and off-site administration costs.</P>
<P style="line-height:10pt; margin-top:0px; margin-bottom:-13.333px; padding-left:73.333px; text-indent:-15.733px; font-size:8pt" align=justify><SUP>3</SUP></P>
<P style="line-height:10pt; margin:0px; padding-left:73.333px; font-size:8pt" align=justify>Total cash costs, plus foreign exchange gain or loss, depreciation, amortization and reclamation expenses.</P>
<P style="line-height:10pt; margin-top:0px; margin-bottom:-13.333px; padding-left:73.333px; text-indent:-15.733px; font-size:8pt" align=justify><SUP>4</SUP></P>
<P style="line-height:10pt; margin:0px; padding-left:73.333px; font-size:8pt" align=justify>Cash operating, total cash and total production costs are non-GAAP measures. See the section &#147;Non-GAAP Measures&#148; of this Review.</P>
<P style="line-height:10pt; margin-top:0px; margin-bottom:-13.333px; padding-left:72.933px; text-indent:-15.333px; font-size:8pt" align=justify><SUP>5</SUP></P>
<P style="line-height:10pt; margin-top:0px; margin-bottom:11.533px; padding-left:72.933px; font-size:8pt" align=justify>Ki&#351;lada&#287; temporarily ceased operations on August 18, 2007 and reopened in March 6, 2008.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>7.</B></P>
<P style="line-height:14pt; margin:0px; text-indent:28.8px; font-size:12pt" align=justify><B>Legal</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>There has been no change in the legal status of our worldwide projects and operations from what we reported in our MD&amp;A for the year ended December 31, 2008 (&quot;2008 Annual MD&amp;A&quot;).</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify>&nbsp;</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(5)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>8.</B></P>
<P style="line-height:14pt; margin:0px; text-indent:28.8px; font-size:12pt" align=justify><B>Results of Operations</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Net income</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>Our consolidated net income for Q1 2009 was $13.1 million or $0.04 per share (Q1 2008&nbsp;&#150; $20.7 million or $0.06 per share). The main reasons for the decrease in profit compared to Q1 2008 were lower sales volumes and higher unit costs at TJS in Q1 2009 due to the transition from oxide ore mined at the QLT pit to sulphide and transition ore mined at the JLG pit; and to lower unit costs and a higher production rate at Ki&#351;lada&#287; in Q1 2008 as a result of gold loaded on carbon during the period that the mine was shut down. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Gold revenues</I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Our gold revenues consist of gold bullion sales at spot price. We sell the refined bullion either to large financial institutions or on the Istanbul and Shanghai gold exchanges.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Gold revenues of $52.2 million for Q1 2009 decreased 24% compared to Q1 2008 revenues of $68.7 million due to lower selling prices and sales volumes. Selling prices in Q1 2009 decreased 3% and ounces sold decreased 22% (or 16,145 ounces) compared to Q1 2008. Sales from Ki&#351;lada&#287; increased while sales from TJS decreased in comparison with Q1 2008. Ki&#351;lada&#287; sales in Q1 2008 reflected only one month of operation, as the mine reopened in March 2008. TJS production in Q1 2009 was affected by the commissioning of the roaster.</P>
<P style="margin:0px" align=justify><BR></P>
<A NAME="_1277637190"></A><A NAME="_1277637964"></A><A NAME="_1277640312"></A><A NAME="_1277814342"></A><A NAME="_1277814370"></A><A NAME="_1278930539"></A><A NAME="_1278930570"></A><A NAME="_1278930649"></A><A NAME="_1285932181"></A><A NAME="_1285932661"></A><A NAME="_1286204150"></A><A NAME="_1286204163"></A><A NAME="_1286204181"></A><A NAME="_1295261914"></A><A NAME="_1295262122"></A><A NAME="_1295766624"></A><A NAME="_1301656506"></A><A NAME="_1301656788"></A><A NAME="_1303121262"></A><TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=41.133></TD><TD width=208.8></TD><TD width=103.867></TD><TD width=95.667></TD><TD width=92.533></TD><TD width=101.8></TD><TD width=72></TD></TR>
<TR><TD valign=bottom width=41.133 height=20><P>&nbsp;</P></TD><TD valign=bottom width=208.8 height=20><P>&nbsp;</P></TD><TD valign=bottom width=393.867 height=20 colspan=4><P style="line-height:13pt; margin:0px; font-size:11pt" align=center><B>Three-month period ended March 31</B></P>
</TD><TD valign=bottom width=72 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=41.133 height=19><P>&nbsp;</P></TD><TD valign=bottom width=208.8 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B>Gold ounces sold</B></P>
</TD><TD valign=bottom width=103.867 height=19><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=95.667 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=center><B>2009</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=92.533 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=center><B>2008</B></P>
</TD><TD valign=bottom width=101.8 height=19><P>&nbsp;</P></TD><TD valign=bottom width=72 height=19><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=41.133 height=20><P>&nbsp;</P></TD><TD valign=bottom width=208.8 height=20><P>&nbsp;</P></TD><TD valign=bottom width=103.867 height=20><P>&nbsp;</P></TD><TD style="background-color:#FFFFFF" valign=bottom width=95.667 height=20><P>&nbsp;</P></TD><TD valign=bottom width=92.533 height=20><P>&nbsp;</P></TD><TD valign=bottom width=101.8 height=20><P>&nbsp;</P></TD><TD valign=bottom width=72 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=41.133 height=20><P>&nbsp;</P></TD><TD valign=bottom width=208.8 height=20><P style="line-height:13pt; margin:0px; font-size:11pt"> Ki&#351;lada&#287;&nbsp;</P>
</TD><TD valign=bottom width=103.867 height=20><P>&nbsp;</P></TD><TD style="background-color:#FFFFFF" valign=bottom width=95.667 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;45,212&nbsp;</P>
</TD><TD valign=bottom width=92.533 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;23,129&nbsp;</P>
</TD><TD valign=bottom width=101.8 height=20><P>&nbsp;</P></TD><TD valign=bottom width=72 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=41.133 height=20><P>&nbsp;</P></TD><TD valign=bottom width=208.8 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">TJS</P>
</TD><TD valign=bottom width=103.867 height=20><P>&nbsp;</P></TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" valign=bottom width=95.667 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;12,247&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=92.533 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;50,475&nbsp;</P>
</TD><TD valign=bottom width=101.8 height=20><P>&nbsp;</P></TD><TD valign=bottom width=72 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=41.133 height=20><P>&nbsp;</P></TD><TD valign=bottom width=208.8 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Total gold ounces sold</P>
</TD><TD valign=bottom width=103.867 height=20><P>&nbsp;</P></TD><TD style="background-color:#FFFFFF" valign=bottom width=95.667 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;57,459&nbsp;</P>
</TD><TD style="background-color:#FFFFFF" valign=bottom width=92.533 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;73,604&nbsp;</P>
</TD><TD valign=bottom width=101.8 height=20><P>&nbsp;</P></TD><TD valign=bottom width=72 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=41.133 height=20><P>&nbsp;</P></TD><TD valign=bottom width=208.8 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Average selling price per ounce</P>
</TD><TD valign=bottom width=103.867 height=20><P>&nbsp;</P></TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" valign=bottom width=95.667 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;$ 908.58&nbsp;</P>
</TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" valign=bottom width=92.533 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;$ 933.04&nbsp;</P>
</TD><TD valign=bottom width=101.8 height=20><P>&nbsp;</P></TD><TD valign=bottom width=72 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=41.133 height=20><P>&nbsp;</P></TD><TD valign=bottom width=208.8 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Gold revenues (000s)</P>
</TD><TD valign=bottom width=103.867 height=20><P>&nbsp;</P></TD><TD style="background-color:#FFFFFF; border-bottom:1px solid #000000" valign=bottom width=95.667 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;$ 52,206&nbsp;</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=92.533 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;$ 68,675&nbsp;</P>
</TD><TD valign=bottom width=101.8 height=20><P>&nbsp;</P></TD><TD valign=bottom width=72 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=41.133 height=17><P>&nbsp;</P></TD><TD valign=bottom width=208.8 height=17><P>&nbsp;</P></TD><TD valign=bottom width=103.867 height=17><P>&nbsp;</P></TD><TD valign=bottom width=95.667 height=17><P>&nbsp;</P></TD><TD valign=bottom width=92.533 height=17><P>&nbsp;</P></TD><TD valign=bottom width=101.8 height=17><P>&nbsp;</P></TD><TD valign=bottom width=72 height=17><P>&nbsp;</P></TD></TR>
</TABLE>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:7.333px; margin-bottom:0px; font-size:11pt" align=justify><B><I>Interest and other income</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>Interest income earned on cash, short-term money market investments and restricted cash balances held during Q1 2009 was $0.2 million (Q1 2008 &#150; $1.0 million). Other income was nil in the quarter (Q1 2008 &#150; $2.7 million). Interest income during Q1 2009 was down from 2008 due to lower interest rates. Other income in 2008 reflected gains related to excess electric power sales from our S&#227;o Bento mine. S&#227;o Bento was sold in December 2008.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Operating costs</I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Operating costs for Q1 2009 were $18.4 million, a decrease of 7% over Q1 2008 operating costs of $19.8 million, reflecting lower gold production from TJS that was partially offset by higher production at Ki&#351;lada&#287; and higher unit operating costs at both Ki&#351;lada&#287; and TJS. At Ki&#351;lada&#287;, unit operating costs increased due to lower gold recovery rates and higher reagent costs related to the transition from oxide to sulphide ore as well as a higher strip ratio. At TJS, unit operating costs increased due to higher strip ratios and lower grades from the JLG pit compared to Q1 2008 production from the QLT pit. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(6)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Depletion, depreciation and amortization</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>Depletion, depreciation and amortization (&#147;DD&amp;A&#148;) expense of $4.5 million in Q1 2009 was 49% lower than the Q1 2008 expense of $8.8 million, reflecting lower production and sales at TJS in Q1 2009 compared to Q1 2008. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>General and administrative</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>General and administrative costs are incurred at our head office in Vancouver, Canada, as well as in the countries where we conduct our business. General and administrative expense of $8.8 million for Q1 2009 was 10% lower than the Q1 2008 general and administrative expense of $9.8 million, primarily due to lower stock-based compensation expense. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Exploration expense</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>Exploration expense for Q1 2009 was $2.1 million compared to the Q1 2008 expense of $2.2 million. Exploration activities are discussed in the section &#147;Exploration&#148; of this MD&amp;A. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Foreign exchange gain (loss)</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>During Q1 2009, we reported a foreign exchange gain of $3.1 million (Q1 2008 &#150; $0.9 million loss). The major part of this gain related to foreign exchange gains in the revaluation of our future income tax liabilities denominated in euros and Turkish lira.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Loss on disposal of marketable securities</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>During Q1 2009, we reported a $1.0 million loss on the disposal of marketable securities (Q1 2008 &#150; $0.2 million gain) related to the sale of AngloGold Ashanti shares the Company received in December 2008 from the divestiture of S&#227;o Bento. In 2008 we reported a $2.0 million mark to market gain on the shares remaining to be sold at year end December 31, 2008. The loss in Q1 2009 represented the decrease in fair value of the shares between year end and the disposal date.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Interest and financing costs</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>Interest expense for Q1 2009 was $0.1 million, compared to $1.0 million in Q1 2008, reflecting the reduction in debt related to the revolving credit facility with HSBC Bank.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Income taxes</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>Income tax expense for Q1 2009 was $7.2 million (Q1 2008 &#150; $6.0 million). The effective tax rate increased from 22.4% in Q1 2008 to 35.05% in Q1 2009 due to the proportionate increase in expenses incurred in tax jurisdictions (Canada and Brazil) where the Company does not currently realize tax benefits. &nbsp;Additionally, in Q1 2009 income before tax expense from TJS (our lowest tax rate jurisdiction at 15%) represented a smaller proportion of overall income before tax expense than in Q1 2008.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Non-controlling interest</I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>TJS reported a charge of $0.4 million during Q1 2009 related to our joint venture partners&#146; 10% interest in the mine (Q1 2008 &#150; nil). </P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(7)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>9.</B></P>
<P style="line-height:14pt; margin:0px; text-indent:28.8px; font-size:12pt" align=justify><B>Outlook</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; font-size:11pt" align=justify>Our production outlook for 2009 is essentially unchanged from what we reported in our 2008 Annual MD&amp;A. Eldorado plans to produce 325,000 to 340,000 ounces of gold in 2009 at a cash operating cost of approximately $300 per ounce. Capital expenditures for 2009 are forecast at approximately $117.0 million.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>10.</B></P>
<P style="line-height:14pt; margin:0px; text-indent:28.8px; font-size:12pt" align=justify><B>Liquidity</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Operating activities after working capital requirements for Q1 2009 generated $25.9 million (Q1 2008 &#150; $47.0 million). </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>During Q1 2009, Eldorado invested $19.0 million in capital expenditures and mine development. Capital expenditures at Ki&#351;lada&#287; totalled $1.6 million, mostly related to leach pad expansion. Capital expenditures at TJS of $3.8 million related to constructing and commissioning the roaster. At Efem&#231;ukuru, development expenditures totalled $5.5 million, while at Vila Nova we spent $3.9 million on mine construction and development. We also spent $1.5 million on the Tocantinzinho project in Brazil and $2.1 million to acquire mineral licenses in Turkey. The remaining $0.6 million of expenditures related to Perama Hill and the acquisition of fixed assets in Vancouver, Canada and Ankara, Turkey.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>During Q1 2009, we received $30.5 million on the sale of AngloGold shares, as well as $16.2 million from AngloGold shares sold at the end of 2008 but settled in 2009. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>During Q1 2009, we received net proceeds of $11.1 million in consideration for issuing 2,639,361 common shares related to the exercise of stock options. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>At March 31, 2009, we had cash and cash equivalents of $108.0 million and working capital of $196.2 million, compared with $61.8 million of cash and cash equivalents and working capital of $184.8 million at the beginning of the year. In the opinion of management, the working capital at March 31, 2009, together with future cash flows from operations, is sufficient to support the Company&#146;s commitments. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Contractual obligations</I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>The Company&#146;s contractual obligations at March 31, 2009 include:</P>
<P style="margin:0px" align=justify><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=208.4></TD><TD width=7.667></TD><TD width=72></TD><TD width=7.667></TD><TD width=72></TD><TD width=7.667></TD><TD width=72></TD><TD width=7.667></TD><TD width=72></TD><TD width=7.667></TD><TD width=72></TD><TD width=7.667></TD><TD width=72></TD></TR>
<TR><TD valign=bottom width=208.4><P>&nbsp;</P></TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=470.333 colspan=11><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=center><B>(000s)</B></P>
</TD></TR>
<TR><TD valign=bottom width=208.4><P>&nbsp;</P></TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2009</B></P>
<P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2010</B></P>
<P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2011</B></P>
<P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2012</B></P>
<P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>2013 and later</B></P>
<P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Total</B></P>
<P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>$</B></P>
</TD></TR>
<TR><TD valign=bottom width=208.4><P>&nbsp;</P></TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P>&nbsp;</P></TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P>&nbsp;</P></TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P>&nbsp;</P></TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P>&nbsp;</P></TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P>&nbsp;</P></TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=208.4><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Debt</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:29.4px; font-size:11pt" align=justify>5,115</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:57.533px; font-size:11pt" align=justify>-</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:57.533px; font-size:11pt" align=justify>-</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:57.533px; font-size:11pt" align=justify>-</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:57.533px; font-size:11pt" align=justify>-</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:29.4px; font-size:11pt" align=justify>5,115</P>
</TD></TR>
<TR><TD valign=bottom width=208.4><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Capital leases</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:47.733px; font-size:11pt" align=justify>54</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:47.733px; font-size:11pt" align=justify>62</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:47.733px; font-size:11pt" align=justify>36</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:47.733px; font-size:11pt" align=justify>23</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:57.533px; font-size:11pt" align=justify>-</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:40.4px; font-size:11pt" align=justify>175</P>
</TD></TR>
<TR><TD valign=bottom width=208.4><P style="line-height:13pt; margin:0px; padding-left:14.4px; text-indent:-14.4px; font-size:11pt" align=justify>Operating leases</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:29.4px; font-size:11pt" align=justify>1,885</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:29.4px; font-size:11pt" align=justify>2,002</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:29.4px; font-size:11pt" align=justify>1,875</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:29.4px; font-size:11pt" align=justify>1,860</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:29.4px; font-size:11pt" align=justify>2,140</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:29.4px; font-size:11pt" align=justify>9,762</P>
</TD></TR>
<TR><TD valign=bottom width=208.4><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Purchase obligations</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:22.067px; font-size:11pt" align=justify>32,449</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:22.067px; font-size:11pt" align=justify>12,293</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:22.067px; font-size:11pt" align=justify>10,220</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:22.067px; font-size:11pt" align=justify>10,180</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:57.533px; font-size:11pt" align=justify>-</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:22.067px; font-size:11pt" align=justify>65,142</P>
</TD></TR>
<TR><TD valign=bottom width=208.4><P>&nbsp;</P></TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="margin:0px" align=justify><BR></P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="margin:0px" align=justify><BR></P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="margin:0px" align=justify><BR></P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="margin:0px" align=justify><BR></P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="margin:0px" align=justify><BR></P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD valign=bottom width=72><P style="margin:0px" align=justify><BR></P>
</TD></TR>
<TR><TD valign=bottom width=208.4><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Totals</P>
</TD><TD valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:22.067px; font-size:11pt" align=justify>39,503</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:22.067px; font-size:11pt" align=justify>14,357</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:22.067px; font-size:11pt" align=justify>12,131</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:22.067px; font-size:11pt" align=justify>12,063</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:29.4px; font-size:11pt" align=justify>2,140</P>
</TD><TD style="border-bottom:2px solid #000000" valign=bottom width=7.667><P>&nbsp;</P></TD><TD style="border-bottom:2px solid #000000" valign=bottom width=72><P style="line-height:13pt; margin:0px; text-indent:22.067px; font-size:11pt" align=justify>80,194</P>
</TD></TR>
</TABLE>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(8)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; font-size:11pt" align=justify>Purchase obligations from<B> </B>2010 forward relate solely to the Ki&#351;lada&#287; operations and include the estimated commitments under the unhedged diesel fuel purchase commitments for 2010 through 2012. Interest is not included in the debt commitments, other than imputed interest relating to the Sino Gold loan.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>11.</B></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:8px; text-indent:28.8px; font-size:12pt" align=justify><B>Capital Resources</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Cash and working capital</I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>At March 31, 2009, we had cash and cash equivalents of $108.0 million and working capital of $196.2 million, compared with $61.8 million of cash and cash equivalents and working capital of $184.8&nbsp;million at the beginning of the year. The increase in cash and cash equivalents was primarily attributable to the sale of AngloGold Ashanti shares received from the sale of S&#227;o Bento as well as proceeds from the exercise of employee stock options. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>The status of our financing arrangements and obligations is as follows:</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Revolving credit facilities</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:11px; font-size:11pt" align=justify>In April 2005, T&#252;prag entered into a $65.0 million term revolving credit facility (the &#147;Revolving Credit Facility&#148;) with HSBC Bank USA, National Association (&#147;HSBC&#148;) due February 28, 2010. The Revolving Credit Facility is secured by cash deposits in restricted accounts equivalent to the HSBC advances to T&#252;prag. The Revolving Credit Facility bears interest fixed at the prevailing LIBOR on the date of the draw plus 0.50%. As at March 31, 2009, no outstanding advances were drawn on the facility.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:11px; font-size:11pt" align=justify>At March 31, 2009, $65.0 million remained available under the Revolving Credit Facility. </P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:14.667px; font-size:11pt" align=justify>In November 2007, our 90% owned subsidiary QDML entered into a $15.0 million state facility (&#147;the Facility&#148;) with HSBC Bank (China). The Facility had a term of one year and was subject to annual review and renewal. In November 2008, the Facility was renewed for a second year and the interest rate was fixed at 1.2 times the prevailing lending rate stipulated by the People&#146;s Bank of China. As at March 31, 2009, an advance of $5.0 million was drawn by QDML on the Facility. The Facility is collateralized by way of an irrevocable letter of credit drawn on HSBC. Eldorado should maintain at all times a security coverage ratio of 110% of the amounts drawn down. The letter of credit has an expiry date of December 1, 2009 and is secured by Eldorado&#146;s funds held by HSBC as restricted cash.</P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>At March 31, 2009, $10.0 million remained available under the Facility. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Equity</I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>At March 31, 2009, Eldorado had 370.9 million (December 2008 &#150; 368.3 million) common shares issued and outstanding.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(9)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>12.</B></P>
<P style="line-height:14pt; margin:0px; text-indent:28.8px; font-size:12pt" align=justify><B>Summary of Quarterly Results</B></P>
<A NAME="_1269778813"></A><A NAME="_1269847443"></A><A NAME="_1270018273"></A><A NAME="_1270282887"></A><A NAME="_1270282896"></A><A NAME="_1270285478"></A><A NAME="_1270392507"></A><A NAME="_1270450635"></A><A NAME="_1270467121"></A><A NAME="_1270628925"></A><A NAME="_1277893596"></A><A NAME="_1277893758"></A><A NAME="_1277893778"></A><A NAME="_1278324296"></A><A NAME="_1278324324"></A><A NAME="_1278832879"></A><A NAME="_1278832904"></A><A NAME="_1278929128"></A><A NAME="_1285943980"></A><A NAME="_1285944206"></A><A NAME="_1285998858"></A><A NAME="_1286090102"></A><A NAME="_1286792695"></A><A NAME="_1286862392"></A><A NAME="_1301924005"></A><A NAME="_1301924119"></A><A NAME="_1301924564"></A><A NAME="_1301985612"></A><A NAME="_1302003545"></A><A NAME="_1302420559"></A><P style="margin:0px" align=center>&nbsp;</P>
<P style="margin:0px" align=justify><BR></P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=126.533></TD><TD width=73></TD><TD width=73></TD><TD width=73></TD><TD width=73></TD><TD width=83.333></TD><TD width=73></TD><TD width=73></TD><TD width=73></TD></TR>
<TR><TD valign=bottom width=126.533 height=17><P>&nbsp;</P></TD><TD valign=bottom width=594.333 height=17 colspan=8><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=126.533 height=17><P>&nbsp;</P></TD><TD valign=bottom width=146 height=17 colspan=2><P>&nbsp;</P></TD><TD valign=bottom width=146 height=17 colspan=2><P>&nbsp;</P></TD><TD valign=bottom width=156.333 height=17 colspan=2><P>&nbsp;</P></TD><TD valign=bottom width=146 height=17 colspan=2><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=126.533 height=19><P style="line-height:13pt; margin:0px; font-size:11pt"><B>(US$000s)</B></P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000; border-bottom:1px solid #000000" valign=top width=73 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Q1 2009</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=73 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Q4 2008</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=top width=73 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Q3 2008</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=73 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Q2 2008</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=top width=83.333 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Q1 2008</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=73 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Q4 2007</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=top width=73 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Q3 2007</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=73 height=19><P style="line-height:13pt; margin:0px; font-size:11pt" align=right><B>Q2 2007</B></P>
</TD></TR>
<TR><TD valign=bottom width=126.533 height=8.8><P>&nbsp;</P></TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=73 height=8.8><P>&nbsp;</P></TD><TD valign=bottom width=73 height=8.8><P>&nbsp;</P></TD><TD valign=top width=73 height=8.8><P>&nbsp;</P></TD><TD valign=bottom width=73 height=8.8><P>&nbsp;</P></TD><TD valign=top width=83.333 height=8.8><P>&nbsp;</P></TD><TD valign=bottom width=73 height=8.8><P>&nbsp;</P></TD><TD valign=top width=73 height=8.8><P>&nbsp;</P></TD><TD valign=bottom width=73 height=8.8><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=126.533 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Total revenue</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;52,402&nbsp;</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;65,148&nbsp;</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;68,238&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;82,462&nbsp;</P>
</TD><TD valign=top width=83.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;72,383&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;28,512&nbsp;</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;40,038&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;76,662&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=126.533 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Net income (loss)</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;13,061&nbsp;</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;100,724&nbsp;</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;17,040&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;25,155&nbsp;</P>
</TD><TD valign=top width=83.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;20,737&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(9,105)</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;5,213&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;26,731&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=126.533 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Earnings per share</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=73 height=20><P>&nbsp;</P></TD><TD valign=top width=73 height=20><P>&nbsp;</P></TD><TD valign=top width=73 height=20><P>&nbsp;</P></TD><TD valign=bottom width=73 height=20><P>&nbsp;</P></TD><TD valign=top width=83.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=73 height=20><P>&nbsp;</P></TD><TD valign=top width=73 height=20><P>&nbsp;</P></TD><TD valign=bottom width=73 height=20><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=126.533 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Basic</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.04&nbsp;</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.27&nbsp;</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.05&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.07&nbsp;</P>
</TD><TD valign=top width=83.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.06&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;(0.03)</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.02&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.08&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=126.533 height=20><P style="line-height:13pt; margin:0px; font-size:11pt">Diluted</P>
</TD><TD style="background-color:#FFFF99; border-right:1px solid #000000" valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.04&nbsp;</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.27&nbsp;</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.05&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.07&nbsp;</P>
</TD><TD valign=top width=83.333 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.06&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;- &nbsp;&nbsp;</P>
</TD><TD valign=top width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.02&nbsp;</P>
</TD><TD valign=bottom width=73 height=20><P style="line-height:13pt; margin:0px; font-size:11pt" align=right>&nbsp;&nbsp;0.08&nbsp;</P>
</TD></TR>
<TR><TD valign=bottom width=126.533 height=20><P>&nbsp;</P></TD><TD valign=top width=73 height=20><P>&nbsp;</P></TD><TD valign=bottom width=73 height=20><P>&nbsp;</P></TD><TD valign=bottom width=73 height=20><P>&nbsp;</P></TD><TD valign=bottom width=73 height=20><P>&nbsp;</P></TD><TD valign=bottom width=83.333 height=20><P>&nbsp;</P></TD><TD valign=bottom width=73 height=20><P>&nbsp;</P></TD><TD valign=bottom width=73 height=20><P>&nbsp;</P></TD><TD valign=bottom width=73 height=20><P>&nbsp;</P></TD></TR>
</TABLE>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>13.</B></P>
<P style="line-height:14pt; margin:0px; text-indent:28.8px; font-size:12pt" align=justify><B>Off-Balance Sheet Arrangements</B></P>
<P style="margin-top:0px; margin-bottom:7.333px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; font-size:11pt" align=justify>None.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>14.<A NAME="OLE_LINK9"></A><A NAME="OLE_LINK10"></A></B></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:8px; text-indent:28.8px; font-size:12pt" align=justify><B>Adoption of New Accounting Standards</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Goodwill and Intangible Assets, Section 3064</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>In February 2008, the Canadian Institute of Chartered Accountants (&#147;CICA&#148;) issued Section 3064, &#147;Goodwill and Intangible Assets&#148;, which replaces Section 3062, &#147;Goodwill and Other Intangible Assets&#148;. This new standard provides guidance on the recognition, measurement, presentation and disclosure of goodwill and intangible assets and is effective for Eldorado beginning January 1, 2009. Concurrent with the adoption of this standard, EIC-27, &#147;Revenues and Expenditures in the Pre-operating Period&#148;, was withdrawn. This resulted in a change to our accounting for the start-up of mining operations, as pre-commercial production costs are no longer capitalized as an asset. The adoption of this new accounting policy did not have any material impact on Eldorado&#146;s consolidated financial statements.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Credit Risk and the Fair Value of Financial Assets and Financial Liabilities (EIC Abstract 173)</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>In January 2009, the CICA issued EIC Abstract 173, &#147;Credit Risk and the Fair Value of Financial Assets and Financial Liabilities&#148;. The EIC requires the Company to take into account the Company&#146;s own credit risk and the credit risk of the counterparty in determining the fair value of financial assets and financial liabilities, including derivative instruments. This abstract applies to interim and annual consolidated financial statements relating to fiscal years beginning on or after January 1, 2009. The adoption of this new accounting policy did not have any material impact on Eldorado&#146;s consolidated financial statements.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Mining Exploration Costs (EIC Abstract 174)</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>In March 2009, the CICA issued EIC Abstract 174, &#147;Mining Exploration Costs&#148;. The EIC provides guidance on the accounting and the impairment review of exploration costs. This abstract applies to interim and annual consolidated financial statements relating to fiscal years beginning on or after January 1, 2009. The adoption of this new accounting policy did not have any material impact on Eldorado&#146;s consolidated financial statements.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(10)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>International Financial Reporting Standards </I></B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Canadian GAAP for publicly listed companies will be replaced with International Financial Reporting Standards (&#147;IFRS&#148;) effective for fiscal years beginning on or after January 1, 2011. Eldorado will begin reporting its financial statements in accordance with IFRS in the first quarter of 2011 with restatement of comparative information presented. The conversion to IFRS will impact Eldorado&#146;s accounting policies, information technology and data systems, internal controls over financial reporting, and disclosure controls and procedures. The transition may also impact business activities, such as foreign currency and certain contractual arrangements, debt covenants, capital requirements and compensation arrangements.</P>
<P style="margin:0px"><BR></P>
<A NAME="OLE_LINK5"></A><A NAME="OLE_LINK6"></A><P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>During the third quarter of 2008, we began the scoping and planning phase of our changeover plan. We have designated the appropriate resources to the project to develop an effective plan and will continue to assess resource and training requirements as the project progresses. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; font-size:11pt" align=justify>We have identified four phases to our conversion: scoping and planning, detailed assessment, implementation and post implementation. The scoping and planning phase involves establishing a project management team and organizational structure (including oversight of the process) and it includes a project management plan and stakeholder analysis and communication strategy. This phase also includes an initial assessment of the key areas where the IFRS transition may have a significant impact and present significant challenges. This scoping and planning phase is substantially complete. The detailed assessment phase involves in-depth technical analysis that will result in an understanding of potential impacts, decisions on accounting policy choices and the drafting of accounting policies. In addition, this phase will result in identifying additional resource and training requirements and the processes for preparing fi
nancial statements, establishing IT system requirements, and preparing detailed transition plans. We are currently working on this phase and expect to complete the detailed technical analysis by the end of the fourth quarter of 2009. The implementation phase will identify and carry out the implementation requirements to effect management&#146;s accounting choices, develop sample financial statements, implement business and internal control requirements, calculate the opening balance sheet at January 1, 2010 and complete other transitional reconciliations and disclosure requirements. The last phase of post-implementation will involve continuous monitoring of changes in IFRS throughout the implementation process and assessing their impacts on Eldorado and our reporting.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>15.</B></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:8px; text-indent:28.8px; font-size:12pt" align=justify><B>Non-GAAP Measures</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:7.333px; font-size:11pt" align=justify>Throughout this document, we have provided measures prepared according to Canadian Generally Accepted Accounting Principles (&#147;GAAP&#148;), as well as some non-GAAP performance measures. Because the non-GAAP performance measures do not have any standardized meaning prescribed by GAAP, they may not be comparable to similar measures presented by other companies. We provide these non-GAAP measures as they are used by some investors to evaluate Eldorado&#146;s performance. Accordingly, they are intended to provide additional information and should not be considered in isolation or as a substitute for measures of performance prepared in accordance with Canadian GAAP. We have defined the non-GAAP measures below and reconciled them to reported GAAP measures.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR></P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(11)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify><B><I>Cash operating cost</I></B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:9.8px; font-size:11pt" align=justify>A reconciliation of cash operating costs calculated in accordance with the Gold Institute Standard to the operating costs is included below: </P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=234.667></TD><TD width=28.8></TD><TD width=84.533></TD><TD width=28.8></TD><TD width=81.2></TD></TR>
<TR><TD valign=bottom width=234.667><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=84.533><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Q1 2009</B></P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=81.2><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Q1 2008</B></P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=84.533><P style="margin:0px" align=justify><BR></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=81.2><P style="margin:0px" align=justify><BR></P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Gold ounces sold</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=84.533><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:33.533px; font-size:11pt" align=justify>57,459</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=81.2><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:33.533px; font-size:11pt" align=justify>73,604</P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=84.533><P style="margin:0px" align=justify><BR></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=81.2><P style="margin:0px" align=justify><BR></P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=84.533><P style="margin:0px" align=justify><BR></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=81.2><P style="margin:0px" align=justify><BR></P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=84.533><P style="margin:0px" align=justify><BR></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=81.2><P style="margin:0px" align=justify><BR></P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Operating costs</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=84.533><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:26.2px; font-size:11pt" align=justify>$18,442</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=81.2><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:26.2px; font-size:11pt" align=justify>$19,819</P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Royalty expense and production taxes</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=84.533><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:31.133px; font-size:11pt" align=justify>(1,155)</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=81.2><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:31.133px; font-size:11pt" align=justify>(3,665)</P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Effects of inventory adjustments</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=84.533><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:51.867px; font-size:11pt" align=justify>485</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=81.2><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:49.467px; font-size:11pt" align=justify>(19)</P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Fair value of stock option grants</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=84.533><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:42.133px; font-size:11pt" align=justify>(756)</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=81.2><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:42.133px; font-size:11pt" align=justify>(434)</P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-top:1px solid #000000" valign=bottom width=84.533><P style="margin:0px" align=justify><BR></P>
</TD><TD style="border-top:1px solid #000000" valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=81.2><P style="margin:0px" align=justify><BR></P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Cash operating cost</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=84.533><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:33.533px; font-size:11pt" align=justify>17,016</P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=81.2><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:33.533px; font-size:11pt" align=justify>15,701</P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=84.533><P style="margin:0px" align=justify><BR></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=81.2><P style="margin:0px" align=justify><BR></P>
</TD></TR>
<TR><TD valign=bottom width=234.667><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Cash operating cost per ounce</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=84.533><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:33.533px; font-size:11pt" align=justify>$ &nbsp;296 </P>
</TD><TD style="border-bottom:1px solid #000000" valign=bottom width=28.8><P>&nbsp;</P></TD><TD style="border-bottom:1px solid #000000" valign=bottom width=81.2><P style="line-height:13pt; margin:0px; padding-right:7.333px; text-indent:33.533px; font-size:11pt" align=justify>$ &nbsp;&nbsp;213</P>
</TD></TR>
</TABLE>
<P style="margin-top:0px; margin-bottom:7.333px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:13.467px; font-size:11pt" align=justify>Cash operating costs are calculated in accordance with the Gold Institute Standard. Cash costs are derived from amounts included in the Consolidated Statements of Operations.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>16.</B></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:6.667px; text-indent:28.8px; font-size:12pt" align=justify><B>Other MD&amp;A Requirements </B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Other than as described in this quarterly interim report, there has been no change to the information provided in our 2008 Annual MD&amp;A regarding the following items: Critical Accounting Estimates; Financial Instruments and Related Risks; and Other Risks and Uncertainties. Please see our 2008 Annual MD&amp;A for information on these items.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:13.467px; font-size:11pt" align=justify>Additional information relating to Eldorado, including our Annual Information Form, is available on SEDAR at www.sedar.com.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>17.</B></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:6.667px; text-indent:28.8px; font-size:12pt" align=justify><B>Disclosure of Outstanding Share Data</B></P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; font-size:11pt" align=justify>The following table describes Eldorado&#146;s share capital structure as at May 5, 2009, the date of this MD&amp;A. These figures may be subject to minor accounting adjustments prior to presentations in future consolidated financial statements.</P>
<TABLE style="font-size:10pt" cellspacing=0><TR height=0 style="font-size:0"><TD width=436.8></TD><TD width=28.8></TD><TD width=96></TD><TD width=28.8></TD><TD width=96></TD></TR>
<TR><TD valign=bottom width=436.8><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=justify><B>Equity Type</B></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Weighted average exercise price per share</B></P>
<P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Cdn$</B></P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height:13pt; margin:0px; padding-right:9.6px; font-size:11pt" align=right><B>Total number of common shares</B></P>
</TD></TR>
<TR><TD valign=bottom width=436.8><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P>&nbsp;</P></TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P>&nbsp;</P></TD></TR>
<TR><TD valign=bottom width=436.8><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Common shares</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 13pt; font-size: 11pt; margin: 0px" align=right><BR></P>
</TD><TD valign=bottom width=28.8><P style="line-height: 13pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 13pt; font-size: 11pt; margin: 0px" align=right>370,974,757</P>
</TD></TR>
<TR><TD valign=bottom width=436.8><P style="line-height:13pt; margin:0px; padding-left:28.8px; text-indent:-28.8px; font-size:11pt" align=justify>Share purchase options</P>
</TD><TD valign=bottom width=28.8><P>&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 13pt; font-size: 11pt; margin: 0px" align=right>5.91</P>
</TD><TD valign=bottom width=28.8><P style="line-height: 13pt; font-size: 11pt; margin: 0px" align="right">&nbsp;</P></TD><TD valign=bottom width=96><P style="line-height: 13pt; font-size: 11pt; margin: 0px" align=right>11,005,186</P>
</TD></TR>
</TABLE>
<P style="margin-top:0px; margin-bottom:15.867px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(12)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
<HR style="margin-top:9.6px; margin-bottom:9.6px" noshade size=1.333>
<P style="line-height:19pt; margin:0px; font-size:17pt; page-break-before:always" align=center><B>MANAGEMENT&#146;S DISCUSSION AND ANALYSIS</B></P>
<P style="line-height:11pt; margin:0px; font-size:9pt" align=center><B>THREE-MONTH PERIOD ENDED MARCH 31, 2009</B></P>
<P style="margin:0px"><BR></P>
<P style="margin-top:0px; margin-bottom:17.333px" align=justify><BR>
<BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>18.</B></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:12px; text-indent:28.8px; font-size:12pt" align=justify><B>Management&#146;s Report on Internal Control over Financial Reporting</B></P>
<P style="line-height:13pt; margin-top:0px; margin-bottom:15.867px; font-size:11pt" align=justify>Eldorado&#146;s management is responsible for establishing and maintaining adequate internal control over financial reporting. Any system of internal control over financial reporting, no matter how well designed, has inherent limitations. Therefore, even those systems determined to be effective can provide only reasonable assurance with respect to financial statement preparation and presentation. There have been no changes in Eldorado&#146;s internal control over financial reporting during Q1 2009 that have materially affected, or are reasonably likely to materially affect, internal control over financial reporting.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:-18.667px; font-size:12pt" align=justify><B>19.</B></P>
<P style="line-height:14pt; margin-top:0px; margin-bottom:12px; text-indent:28.8px; font-size:12pt" align=justify><B>Cautionary Statement on Forward-Looking Information</B></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Certain statements and information in this MD&amp;A, including all statements that are not historical facts, contain forward-looking statements and forward-looking information within the meaning of applicable US and Canadian securities laws. Such forward-looking statements or information include, but are not limited to, statements or information with respect to financial disclosure, the future price of gold, the estimation of mineral reserves and exploration and development capital requirements, and our goals and strategies. These statements often include words such as &#147;plans&#148;, &#147;expects&#148; or &#147;does not expect&#148;, &#147;is expected&#148;, &#147;budget&#148;, &#147;scheduled&#148;, &#147;estimates&#148;, &#147;forecasts&#148;, &#147;intends&#148;, &#147;anticipates&#148; or &#147;does not anticipate&#148; or &#147;believes&#148; or variations of such words and phrases or statements that certain actions, events or re
sults &#147;may&#148;, &#147;could&#148;, &#147;would&#148;, &#147;might&#148; or &#147;will&#148; be taken, occur or be achieved. </P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>With respect to forward-looking statements and the information included in this MD&amp;A, we have made numerous assumptions, including, among other things, assumptions about the price of gold, anticipated costs and expenditures and our ability to achieve our goals, even though our management believes that the assumptions made and the expectations represented by such statements or information will prove to be accurate. By their nature, forward-looking statements and information are based on assumptions and involve known and unknown risks, uncertainties and other factors that may cause our actual results, performance or achievements, or industry results, to be materially different from future results, performance or achievements expressed or implied by such forward-looking information. Such risks, uncertainties and other factors include, among other things, the following: gold price volatility; discrepancies between actual and estimated prod
uction and mineral reserves and resources; the speculative nature of gold exploration; mining operational and development risk; and regulatory risks.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>See our Annual Information Form and our quarterly and annual MD&amp;A for additional information on risks, uncertainties and other factors relating to forward-looking statements and information. Although we have attempted to identify factors that would cause actual actions, events or results to differ materially from those disclosed in the forward-looking statements or information, there may be other factors that cause actual results, performances, achievements or events not to be anticipated, estimated or intended. Also, many of the factors are beyond our control. Accordingly, readers should not place undue reliance on forward-looking statements or information. We undertake no obligation to reissue or update forward-looking statements or information as a result of new information or events after the date of this MD&amp;A except as may be required by law. All forward-looking statements and information made in this document are qualified by
 this cautionary statement.</P>
<P style="margin:0px" align=justify><BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt" align=justify>Eldorado&#146;s consolidated financial statements are prepared in accordance with Canadian GAAP and are filed with appropriate regulatory authorities in Canada and the United States.</P>
<P style="margin:0px" align=justify><BR>
<BR></P>
<P style="line-height:13pt; margin:0px; font-size:11pt">(13)</P>
<P style="margin:0px"><BR></P>
<P style="margin:0px" align=center><BR></P>
<P style="margin:0px"><BR></P>
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end
</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
-----END PRIVACY-ENHANCED MESSAGE-----
