-----BEGIN PRIVACY-ENHANCED MESSAGE-----
Proc-Type: 2001,MIC-CLEAR
Originator-Name: webmaster@www.sec.gov
Originator-Key-Asymmetric:
 MFgwCgYEVQgBAQICAf8DSgAwRwJAW2sNKK9AVtBzYZmr6aGjlWyK3XmZv3dTINen
 TWSM7vrzLADbmYQaionwg5sDW3P6oaM5D3tdezXMm7z1T+B+twIDAQAB
MIC-Info: RSA-MD5,RSA,
 Q05y3dbUW5MvVHmm11SDcyPYCvWUWT+HubWQPdYzIHUeZy8HV0DKoaFubJI2x+zB
 Hf1cRTXem93trdSor30ziQ==

<SEC-DOCUMENT>0000930413-08-005318.txt : 20080905
<SEC-HEADER>0000930413-08-005318.hdr.sgml : 20080905
<ACCEPTANCE-DATETIME>20080904182151
ACCESSION NUMBER:		0000930413-08-005318
CONFORMED SUBMISSION TYPE:	N-CSRS
PUBLIC DOCUMENT COUNT:		7
CONFORMED PERIOD OF REPORT:	20080630
FILED AS OF DATE:		20080905
DATE AS OF CHANGE:		20080904
EFFECTIVENESS DATE:		20080905

FILER:

	COMPANY DATA:	
		COMPANY CONFORMED NAME:			TRI-CONTINENTAL CORP
		CENTRAL INDEX KEY:			0000099614
		IRS NUMBER:				135441850
		STATE OF INCORPORATION:			MD
		FISCAL YEAR END:			1231

	FILING VALUES:
		FORM TYPE:		N-CSRS
		SEC ACT:		1940 Act
		SEC FILE NUMBER:	811-00266
		FILM NUMBER:		081057258

	BUSINESS ADDRESS:	
		STREET 1:		100 PARK AVENUE,
		STREET 2:		8TH FLOOR
		CITY:			NEW YORK
		STATE:			NY
		ZIP:			10017
		BUSINESS PHONE:		2128501864

	MAIL ADDRESS:	
		STREET 1:		100 PARK AVENUE
		STREET 2:		8TH FLOOR
		CITY:			NEW YORK
		STATE:			NY
		ZIP:			10017

	FORMER COMPANY:	
		FORMER CONFORMED NAME:	TRI CONTINENTAL CORP
		DATE OF NAME CHANGE:	19920703
</SEC-HEADER>
<DOCUMENT>
<TYPE>N-CSRS
<SEQUENCE>1
<FILENAME>c54390_ncsrs.htm
<TEXT>

<HTML>
<HEAD>
   <TITLE>c54390_ncsr.htm</TITLE>
</HEAD>

<BODY bgcolor="#ffffff">

<br>

<P align="center">
<FONT size=2 face="serif">UNITED STATES </FONT><BR>
<FONT size=2 face="serif">SECURITIES AND EXCHANGE COMMISSION</FONT><BR>
<FONT size=2 face="serif">WASHINGTON, D.C. 20549 </FONT></P>
<P align="center">
<FONT size=2 face="serif">FORM N-CSR</FONT></P>
<P align="center">
<FONT size=2 face="serif">CERTIFIED SHAREHOLDER REPORT OF REGISTERED MANAGEMENT</FONT><BR>
<FONT size=2 face="serif">INVESTMENT COMPANIES </FONT></P>
<P align="center">
<FONT size=2 face="serif">Investment Company Act file number 811-0266</FONT></P>
<P align="center">
<FONT size=2 face="serif">Tri-Continental Corporation </FONT><BR>
<FONT size=2 face="serif"> (Exact name of Registrant as specified in charter) </FONT><BR>
<BR>
<FONT size=2 face="serif">100 Park Avenue </FONT><BR>
<FONT size=2 face="serif">New York, New York 10017 </FONT><BR>
<FONT size=2 face="serif">(Address of principal executive offices) (Zip code)</FONT></P>
<P align="center">
<FONT size=2 face="serif">Lawrence P. Vogel </FONT><BR>
<FONT size=2 face="serif">100 Park Avenue </FONT><BR>
<FONT size=2 face="serif">New York, New York 10017 </FONT><BR>
<FONT size=2 face="serif">(Name and address of agent for service)</FONT></P>
<P align="center">
<FONT size=2 face="serif">Registrant&#146;s telephone number, including area code: (212) 850-1864 </FONT></P>
<P align="center">
<FONT size=2 face="serif">Date of fiscal year end: 12/31 </FONT></P>
<P align="center">
<FONT size=2 face="serif">Date of reporting period: 6/30/08 </FONT></P>
<P align="left">&nbsp;</P>
<HR noshade align="center" width="100%" size=4>



<P align="left" style="page-break-before:always"></P><PAGE>
<br>

<P align="left">
<FONT size=2 face="serif">ITEM 1. REPORTS TO STOCKHOLDERS.</FONT></P>
<P align="left">&nbsp;</P><BR>
<P align="center"><B><FONT size=4 face="sans-serif"><img src="c54390_ncsrsx1x1.jpg" width="752" height="1057"></FONT></B></P>
<div style="margin-top:-980px">
  <p></p>
  <p align="center"><b><font color="#FFFFFF" size=4 face="sans-serif">Mid-Year Report 2008</font></b></p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="center">&nbsp;</p>
  <p align="left">&nbsp;</p>
  <p align="center"> <b><font color="#FFFFFF" size=4 face="sans-serif">an investment you can live with</font></b></p>
</div>
<P align="center">&nbsp;</P>
<P align="center">&nbsp;</P>
<P align="center">&nbsp;</P>
<P align="center">&nbsp;</P>
<P align="center">&nbsp;</P>
<P align="center">&nbsp;</P>


<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<FONT size=6 face="serif"><i>Tri-Continental Corporation invests to</i></FONT><i><BR>
<BR>
<FONT size=6 face="serif">produce future growth of both capital</FONT><BR>
<BR>
<FONT size=6 face="serif">and income, while providing reasonable</FONT><BR>
<BR>
<FONT size=6 face="serif">current income.</FONT></i></P>
<P align="left">&nbsp;</P>
<div style="margin-left:50%">
<TABLE border=0 cellpadding=0 cellspacing=0>
<TR valign="bottom">
  <TD align=left nowrap>
<B><FONT color="#8C2633" face="serif">TABLE OF CONTENTS</FONT></B></TD>
  <TD align=left nowrap>&nbsp;  </TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">To the Stockholders</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Investment Results Per Common Share</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">3</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Highlights of the First Half</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">5</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Stockholder Services</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">6</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Diversification of Net Investment Assets</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">8</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Ten Largest Equity Holdings</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">10</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Largest Portfolio Changes</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">10</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Portfolio of Investments</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">11</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Statement of Assets and Liabilities</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">17</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Statement of Capital Stock and Surplus</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">17</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Statement of Operations</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">18</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Statements of Changes in Net Investment Assets&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">19</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Notes to Financial Statements</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">20</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Financial Highlights</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">26</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Proxy Results</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">28</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Board of Directors </FONT><I><FONT size=2 face="serif">and </FONT></I><FONT size=2 face="serif">Executive Officers</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">29</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Additional Information</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">30</FONT></TD>
  </TR>
</TABLE>
</div>
<BR>
<IMG src="c54390_ncsrsx2x1.jpg" border=0>
<BR>
<P align="left" style="margin-top:2.1mm;"><FONT size=2 face="serif">&nbsp;<font color="#8C2633">&nbsp;TY is Tri-Continental Corporation&#146;s
symbol for its Common Stock on the New York Stock Exchange.</font></font></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="right">
<FONT size=2 face="serif">August 25, 2008</FONT></P>
<P align="left">
<B><FONT size=2 face="serif">To the Stockholders:</FONT></B></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">Your mid-year Stockholder report for Tri-Continental Corporation follows this letter. The report contains the Corporation&#146;s investment results, portfolio of investments, and financial
statements as of June 30, 2008.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">For the six months ended
June 30, 2008, Tri-Continental posted a total return of -13.6%, based on net
asset value, and -15.5%, based on market price. During the same period, its benchmark,
the  S&amp;P 500 Index, returned -11.9%, while its peers, as measured by the Lipper Closed-End Core Funds Average and the Lipper Large-Cap Core Funds Average,
returned -10.6% and -11.5%, respectively.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">Tri-Continental&#146;s 2008 Annual Meeting of Stockholders was held on May 15, 2008. At the meeting, four Directors were re-elected to Tri-Continental&#146;s Board of Directors and Deloitte
&amp; Touche LLP was appointed as the independent auditors of the Corporation for 2008. Complete details of the vote can be found on page 28 of this report.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">The second quarter 2008 distribution of &#36;0.540 per Common share was paid to Stockholders on June 19, 2008. Total distributions in 2008 thus far aggregate &#36;1.173 per Common share. The
third quarter 2008 distribution of &#36;0.513 per Common share will be paid on September 18, 2008 to all Common Stockholders of record September 9, 2008. Each quarterly distribution represents 2.75% of Tri-Continental&#146;s net asset value on the
final day of the preceding quarter.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">On July 7, 2008, Ameriprise Financial, Inc. (&#147;Ameriprise&#148;) announced an agreement to acquire J. &amp; W. Seligman &amp; Co. Incorporated (&#147;Seligman&#148;), Tri-Continental&#146;s
manager, in a transaction that is likely to close in the fourth quarter of 2008. Consummation of the acquisition of Seligman will result in Seligman becoming a wholly-owned subsidiary of RiverSource Investments, LLC (&#147;RiverSource&#148;), a
subsidiary of Ameriprise, and a change of control of Seligman and an assignment and automatic termination of Tri-Continental&#146;s management agreement with Seligman. On July 17, 2008, Tri-Continental&#146;s Board approved a new advisory agreement
with RiverSource, and a new administration agreement with Ameriprise. The new advisory agreement is presented in a proxy statement that you should receive in September 2008. As described in the proxy statement, a Special Meeting of Stockholders has
been scheduled for October 7, 2008 (the &#147;Special Meeting&#148;), at which Stockholders will vote on the new advisory agreement.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">A certain group of stockholders (the &#147;Group&#148;) declared their intent to vote against the approval of the advisory agreement and to solicit other stockholders to vote against approval.
Given the holdings of these stockholders and the voting patterns in previous proxy contests, your Board believed that it would be very difficult, if not impossible, for Tri-Continental to obtain approval of the advisory agreement, absent the
agreement of these stockholders.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">On August 19, 2008, Tri-Continental and the Group entered into a settlement agreement under which the Group agreed to vote in accordance with your Board&#146;s recommendations to approve the
advisory agreement and to elect ten new directors. Tri-Continental agreed that, following the acquisition of Seligman by RiverSource, and subject to certain conditions, it would</FONT></P>
<P align="center">
<I><FONT color="#8C2633" face="serif">1</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<FONT size=2 face="serif">conduct two tender offers, provided that the advisory agreement is approved by stockholders at the upcoming Special Meeting.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">This agreement meets a number of important goals: First, in recognition of the strong preference of many long-term stockholders, Tri-Continental would continue to operate
as a closed-end fund, as it has since 1929; Second, Tri-Continental&#146;s investment objective would remain unchanged; and Third, the Group and other stockholders would be provided with an opportunity to reduce or eliminate their holdings at a small discount to net
asset value, although the first tender offer will not be attractive to most individual stockholders for reasons that are discussed in the proxy statement.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">There will be no obligation to participate in either tender offer. If no action is taken on your part, the number of shares you own of Tri-Continental will remain unchanged. The terms and
conditions of the tender offers will be described in the tender offer documents, which you will receive in due course. Stockholders have repeatedly indicated their support for Tri-Continental&#146;s closed-end structure. The Board
believes that the closed-end structure of Tri-Continental will be maintained as a result of the measures described above and in the proxy statement, which you will receive in September 2008.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">Thank you for your continued support of Tri-Continental Corporation.</FONT></P>

<P align="left">
<FONT size=2 face="serif">By order of the Board of Directors,</FONT></P>
<table width="100%"  border="0" cellspacing="0" cellpadding="0">
  <tr valign="bottom">
    <td width="60%"><IMG src="c54390_ncsrsx3x1.jpg" border=0> <BR>
	<FONT size=2 face="serif">William C. Morris</FONT><BR>
	<FONT size=2 face="serif">Chairman</FONT></td>
   <td><IMG src="c54390_ncsrsx3x2.jpg" width="158" height="50" border=0> <BR>
	<FONT size=2 face="serif">Brian T. Zino</FONT><BR>
	<FONT size=2 face="serif">President</FONT></td>
  </tr>
</table>

<P align="center">
<I><FONT color="#8C2633" face="serif">2</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<div style="border:1px solid #000000; padding:10px">

  <p align="left"><b><font face="serif">Investment Results Per Common Share</font></b></p>
  <p align="left"> <b><font color="#8C2633" size=2 face="serif">TOTAL RETURNS</font></b><br>
      <i><font size=2 face="serif">For Periods Ended June 30, 2008</font></i></p>

<TABLE width=95% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width="90%"></TD>
     <TD></TD>
     <TD nowrap></TD>
     <TD nowrap></TD>
     <TD></TD>
     <TD nowrap></TD>
     <TD nowrap></TD>
     <TD></TD>
     <TD nowrap></TD>
     <TD nowrap></TD>
     <TD></TD>
     <TD nowrap></TD>
     <TD nowrap></TD>
     <TD></TD>
     <TD nowrap></TD>
     <TD nowrap></TD>
     <TD></TD>
     <TD nowrap></TD>
    <TD nowrap></TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD colspan="11" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">Average Annual</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD colspan="2" align=center nowrap>
<FONT size=1 face="serif">Three</FONT></TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD colspan="2" align=center nowrap>
<FONT size=1 face="serif">Six</FONT></TD>
  <TD align=right nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
  <TD colspan="2" align=center nowrap>
<FONT size=1 face="serif">One</FONT></TD>
  <TD align=left nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD colspan="2" align=center nowrap>
<FONT size=1 face="serif">Three</FONT></TD>
  <TD align=right nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD colspan="2" align=center nowrap>
<FONT size=1 face="serif">Five</FONT></TD>
  <TD align=right nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD colspan="2" align=center nowrap>
<FONT size=1 face="serif">Ten</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">Months*</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">Months*</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">Year</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">Years</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">Years</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">Years</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<B><FONT size=2 face="serif">Market Price</FONT></B></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(2.24</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)%</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(15.53</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)%</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(25.68</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)%</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">3.90</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">%</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">6.73</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">%</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1.71</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">%</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<B><FONT size=2 face="serif">Net Asset Value</FONT></B></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(2.13</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(13.57</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(20.59</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1.78</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">6.23</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">0.91</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<B><FONT size=2 face="serif">Lipper Closed-End Core</FONT></B></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<B><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Funds Average**</FONT></B></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(0.22</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(10.63</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(14.36</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">3.05</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">7.54</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">3.58</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<B><FONT size=2 face="serif">Lipper Large-Cap Core</FONT></B></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<B><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Funds Average**</FONT></B></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(1.63</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(11.49</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(12.27</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">3.98</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">6.83</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2.51</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<B><FONT size=2 face="serif">S&amp;P 500 Index**</FONT></B></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(2.72</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(11.90</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(13.11</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">4.40</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">7.57</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2.88</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
</TABLE>
<BR>
<P align="left">
<B><FONT color="#8C2633" size=2 face="serif">PRICE PER SHARE</FONT></B></P>
<TABLE width=70% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=90%></TD>
     <TD></TD>
     <TD nowrap></TD>
     <TD></TD>
     <TD nowrap></TD>
     <TD></TD>
     <TD nowrap></TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">June 30, 2008</FONT></TD>
  <TD align=right>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">March 31, 2008</FONT></TD>
  <TD align=right>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">December 31, 2007</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<B><FONT size=2 face="serif">Market Price</FONT></B></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">&#36;16.54</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">&#36;17.42</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">&#36;20.90</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<B><FONT size=2 face="serif">Net Asset Value</FONT></B></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;18.65</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;19.62</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;23.03</FONT></TD>
</TR>
</TABLE>
<BR>
<P align="left">
<B><FONT color="#8C2633" size=2 face="serif">DISTRIBUTIONS, CAPITAL GAIN AND YIELD INFORMATION</FONT></B><br>
<I><FONT size=2 face="serif">For Periods Ended June 30, 2008</FONT></I></P>
<TABLE width=95% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD></TD>
     <TD align="center"></TD>
     <TD></TD>
     <TD align="center"></TD>
     <TD></TD>
     <TD align="center"></TD>
     <TD></TD>
     <TD align="center"></TD>
     <TD></TD>
     <TD align="center"></TD>
    </TR>
<TR valign="bottom">
  <TD align=center>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
  <TD colspan="5" align=center style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">Capital Gain (Loss)</FONT></TD>
  <TD align=center>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
  <TD align=center>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=1 face="serif">Distributions</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=center>
<FONT size=1 face="serif">Unrealized</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=1 face="serif">Unrealized</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=center>
<FONT size=1 face="serif">SEC 30-Day</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD align=right>&nbsp;</TD>
  <TD align=center style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">Paid&#135;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">Realized</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=center style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">Gain&#134;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">Loss&#134;</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=center style="border-bottom:1px solid #000000;">
<FONT size=1 face="serif">Yield</FONT><SUP><FONT size=1 face="serif">&Oslash;</FONT></SUP>  </TD>
  </TR>
<TR valign="bottom">
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=1 face="serif">&#36;1.17</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=1 face="serif">&#36;(1.52)</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=center>
<FONT size=1 face="serif">&#36;1.03</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=1 face="serif">&#36;(4.86)</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=center>
<FONT size=1 face="serif">3.91%</FONT></TD>
  </TR>
</TABLE>
  <br>
  <div style="border-bottom:1px solid #000000; width:93%; margin-left:10px">&nbsp;</div>

<P align="left">
<I><FONT size=2 face="serif">Performance data quoted in this report represents past performance and does not guarantee or indicate future investment results. The rates of return will vary and the principal value of an investment will fluctuate.
Shares, if sold, may be worth more or less than their original cost. Current performance may be lower or higher than the performance data quoted. Total returns of the Corporation as of the most recent month end will be made available at
</FONT></I><FONT size=2 face="serif">www.seligman.com</FONT><SUP><FONT size=2 face="serif">1 </FONT></SUP><I><FONT size=2 face="serif">by the seventh business day following that month end. J. &amp; W. Seligman &amp; Co. Incorporated, the investment
manager of the Corporation, made certain payments to the Corporation in 2004. Absent such payments, the net asset value returns that include this period would have been lower. Returns reflect changes in market price or net asset value, as
applicable, and assume reinvestment of distributions. Performance data quoted does not reflect the deduction of taxes that investors may pay on distributions or the sale of shares. An investment in Tri-Continental is not a deposit in a bank and is
not insured or guaranteed by the Federal Deposit Insurance Corporation.</FONT></I></P>

<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="60%" border="0" cellpadding="0" cellspacing="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">See footnotes
      on page 4.</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>
<p align="left">&nbsp;</p>
  <p align="left">&nbsp;</p>
  <p align="left">&nbsp;</p>
</div>

<P align="center">
<I><FONT color="#8C2633" face="serif">3</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<div style="border:1px solid #000000; padding:10px">

  <p align="left"><b><font face="serif">Investment Results Per Common Share </font></b><font size=2 face="serif">(continued)</font></p>

<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="95%" border="0" cellspacing="0" cellpadding="0">
  <tr valign="top">
    <td>&nbsp;</td>
    <td align="right" nowrap><FONT size=1 face="serif">*</FONT></td>
    <td>&nbsp;</td>
    <td><FONT size=1 face="serif">Returns for periods of less than one year are
      not annualized.</FONT></td>
  </tr>
  <tr>
    <td>&nbsp;</td>
    <td align="right" nowrap>&nbsp;</td>
    <td>&nbsp;</td>
    <td>&nbsp;</td>
  </tr>
  <tr valign="top">
    <td>&nbsp;</td>
    <td align="right"><FONT size=1 face="serif">**</FONT></td>
    <td>&nbsp;</td>
    <td><FONT size=1 face="serif">The Lipper Closed-End Core Funds Average and
        the Lipper Large-Cap Core Funds Average (the &#147;Lipper Averages&#148;)
        and the Standard &amp; Poor&#146;s 500 Composite Stock Price Index (the &#147;S&amp;P
        500 Index&#148;) are unmanaged benchmarks that assume reinvestment of
        all distributions, and exclude the effect of fees, taxes, and sales charges.
        The S&amp;P 500 Index also excludes the effect of expenses. The Lipper
        Closed-End Core Funds Average measures the performance of closed-end
        funds. The Lipper Large-Cap Core Funds Average includes open end funds
        that, by portfolio practice, invest at least 75% of their assets in companies
        with market capitalizations (on a three-year weighted basis) greater
        than 300% of the dollar-weighted median market capitalization of the
        middle 1,000 securities of the S&amp;P SuperComposite 1500 Index. The
        Lipper Large-Cap Core Funds Average is provided for comparative purposes
        so that the Corporation&#146;s performance can be measured against both
        closed-end and open-end funds with similar portfolio holdings as the
        Corporation. Lipper classifies the Corporation, based on its portfolio
        holdings, as a Closed-End Core Fund. The S&amp;P 500 Index measures the
        performance of 500 of the largest US companies based on market capitalizations.
      Investors cannot invest directly in an index or an average.</FONT></td>
  </tr>
  <tr>
    <td>&nbsp;</td>
    <td align="right">&nbsp;</td>
    <td>&nbsp;</td>
    <td>&nbsp;</td>
  </tr>
  <tr valign="top">
    <td>&nbsp;</td>
    <td align="right"><FONT size=1 face="serif">&#135;</FONT></td>
    <td>&nbsp;</td>
    <td><FONT size=1 face="serif">Preferred Stockholders were paid dividends
      totaling &#36;1.25 per share.</FONT></td>
  </tr>
  <tr>
    <td>&nbsp;</td>
    <td align="right">&nbsp;</td>
    <td>&nbsp;</td>
    <td>&nbsp;</td>
  </tr>
  <tr valign="top">
    <td>&nbsp;</td>
    <td align="right"><FONT size=1 face="serif">&#134;</FONT></td>
    <td>&nbsp;</td>
    <td><FONT size=1 face="serif">Represents the per share amount of gross unrealized
      gain or loss of portfolio securities as of June 30, 2008.</FONT></td>
  </tr>
  <tr>
    <td>&nbsp;</td>
    <td align="right">&nbsp;</td>
    <td>&nbsp;</td>
    <td>&nbsp;</td>
  </tr>
  <tr valign="top">
    <td>&nbsp;</td>
    <td align="right"><font size="1">&Oslash;</font></td>
    <td>&nbsp;</td>
    <td><FONT size=1 face="serif">Current yield, representing the annualized
        yield for the 30-day period ended June 30, 2008, has been computed in
      accordance with SEC regulations and will vary.</FONT></td>
  </tr>
  <tr>
    <td>&nbsp;</td>
    <td align="right">&nbsp;</td>
    <td>&nbsp;</td>
    <td>&nbsp;</td>
  </tr>
  <tr valign="top">
    <td>&nbsp;</td>
    <td align="right"><font size="1">1</font></td>
    <td>&nbsp;</td>
    <td><FONT size=1 face="serif">The website reference is an inactive textual
        reference and information contained in or otherwise accessible through
        the website does not form a part of this report or the Corporation&#146;s
      prospectus or statement of additional information.</FONT></td>
  </tr>
</table>
  <p align="left">&nbsp;</p>
  <p align="left">&nbsp;</p>
  <p align="left">&nbsp;</p>
  <p align="left">&nbsp;</p>
  <p align="left">&nbsp;</p>
  <p align="left">&nbsp;</p>
  <p align="left">&nbsp;</p>
  <p align="left">&nbsp;</p>
  <p align="left">&nbsp;</p>
  <p align="left">&nbsp;</p>
</div>

<P align="center">
<I><FONT color="#8C2633" face="serif">4</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=90% nowrap></TD>
     <TD></TD>
     <TD nowrap></TD>
     <TD nowrap></TD>
     <TD nowrap></TD>
     <TD></TD>
     <TD align="left" nowrap></TD>
     <TD nowrap></TD>
     <TD nowrap></TD></TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<B><FONT face="serif">Highlights of the First Half</FONT></B></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD colspan="2" align=center nowrap>
    <B><FONT size=2 face="serif">June 30,</FONT></B></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD colspan="2" align=center nowrap><B><FONT size=2 face="serif">December 31,</FONT></B></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<B><FONT color="#8C2633" face="serif">Assets:</FONT></B></TD>
  <TD align=left>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
    <B><FONT size=2 face="serif">2008</FONT></B></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
    <B><FONT size=2 face="serif">2007</FONT></B></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Total assets</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2,013,103,973</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap><FONT size=2 face="serif">2,471,980,381</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Amount owed</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">43,497,351</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">60,914,462</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<B><FONT size=2 face="serif">Net Investment Assets</FONT></B></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,969,606,622</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap><FONT size=2 face="serif">2,411,065,919</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Preferred Stock, at par value</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">37,637,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">37,637,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Net Assets for Common Stock</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;"><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;"><FONT size=2 face="serif">1,931,969,622</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:3px double #000000;"><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;"><FONT size=2 face="serif">2,373,428,919</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Common shares outstanding</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">103,614,496</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">103,037,616</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<B><FONT size=2 face="serif">Net Assets Per Common Share</FONT></B></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<B><FONT size=2 face="serif">&#36;18.65</FONT></B></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<B><FONT size=2 face="serif">&#36;23.03</FONT></B></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR>
  <TD width="90%" nowrap>&nbsp;</TD>
  <TD>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD>&nbsp;</TD>
  <TD align="left" nowrap>&nbsp;&nbsp; </TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD colspan="6" align=center nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">Six Months Ended June 30,</FONT></B></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<B><FONT color="#8C2633" face="serif">Capital Gains:</FONT></B></TD>
  <TD align=left>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
    <B><FONT size=2 face="serif">2008</FONT></B></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
    <B><FONT size=2 face="serif">2007</FONT></B></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Net capital gains (losses) realized</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(157,198,953</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">164,160,146</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Per Common share</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;(1.52</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;1.60</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Accumulated capital gains (losses), end of period</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(157,198,953</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">164,633,714</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Per Common share, end of period</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;(1.52</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;1.61</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Unrealized capital gains, end of period</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">106,442,527</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">201,281,954</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Per Common share, end of period</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;1.03</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;1.96</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Unrealized capital losses, end of period</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(503,723,527</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(100,327,107</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Per Common share, end of period</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;(4.86</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;(0.98</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR>
  <TD width="90%" nowrap>&nbsp;</TD>
  <TD>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD>&nbsp;</TD>
  <TD align="left" nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<B><FONT color="#8C2633" face="serif">Capital Gains Paid per Common Share</FONT></B></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;0.31</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;0.12</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR>
  <TD width="90%" nowrap>&nbsp;</TD>
  <TD>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD>&nbsp;</TD>
  <TD align="left" nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<B><FONT color="#8C2633" face="serif">Income:</FONT></B></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Total investment income earned</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">41,489,018</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">49,086,414</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Expenses</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">7,189,813</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">9,284,581</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Preferred Stock dividends</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">968,598</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">940,925</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Income for Common Stock</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;"><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<FONT size=2 face="serif">33,330,607</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:3px double #000000;"><FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<FONT size=2 face="serif">38,860,908</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Expense to average net invesment assets</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">0.67</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">%*</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">0.68</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">%*</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Expense to average net assets for Common Stock</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">0.68</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">%*</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">0.69</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">%*</FONT></TD>
</TR>
<TR>
  <TD width="90%" nowrap>&nbsp;</TD>
  <TD>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD>&nbsp;</TD>
  <TD align="left" nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<B><FONT color="#8C2633" face="serif">Dividends per Common Share</FONT></B></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;0.32</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;0.14</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR>
  <TD width="90%" nowrap>&nbsp;</TD>
  <TD>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD>&nbsp;</TD>
  <TD align="left" nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
  <TD nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<B><FONT color="#8C2633" face="serif">Return of Capital per Common Share</FONT></B></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;0.54</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;&nbsp;&#151;</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
</TABLE>
<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="60%" border="0" cellpadding="0" cellspacing="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">* Annualized.</font></td>
  </tr>
</table>

<P align="left">&nbsp;</P>
<P>&nbsp;</P>
<P align="center">
<I><FONT color="#8C2633" face="serif">5</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Stockholder Services</FONT></B></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">Tri-Continental provides a number of services to make maintaining an investment in its Common Stock more convenient. Please consult Tri-Continental&#146;s prospectus for the terms and
conditions of these services.</FONT></P>
<P align="left">
<B><FONT color="#8C2633" size=2 face="serif">Distribution Policy. </FONT></B><FONT size=2 face="serif">Holders of Tri-Continental Common Stock will receive quarterly distributions equal to a minimum of 2.75% of the net asset value of Tri-Continental&#146;s Common
Stock on the last business day of the preceding calendar quarter (approximately 11% annually). The payment options for receiving distributions are:</FONT></P>
<UL>
<LI>
<FONT size=2 face="serif">100% of distribution to be invested in additional shares of Tri-Continental</FONT></LI>
<LI>
<FONT size=2 face="serif">75% of distribution to be invested in additional shares, 25% of distribution to be paid in cash</FONT></LI>
<LI>
<FONT size=2 face="serif">50% of distribution to be invested in additional shares, 50% of distribution to be paid in cash</FONT></LI>
<LI>
<FONT size=2 face="serif">100% of distribution to be paid in cash</FONT></LI>
</UL>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">You can change your payment election at any time by contacting your financial advisor or Stockholder Services at 800-TRI-1092.</FONT></P>
<P align="left">
<B><FONT color="#8C2633" size=2 face="serif">Automatic Dividend Investment and Cash Purchase Plan. </FONT></B><FONT size=2 face="serif">Subject to the terms and conditions set forth in the prospectus, Stockholders may automatically purchase additional shares with
distribution payments. There is no charge for this service. Stockholders may also, subject to the terms and conditions of the prospectus, purchase additional shares directly from the Corporation. There is a service fee of a maximum of &#36;2.00
for each cash purchase transaction.</FONT></P>
<P align="left">
<B><FONT color="#8C2633" size=2 face="serif">Automatic Cash Withdrawal Plan. </FONT></B><FONT size=2 face="serif">Stockholders who hold Common Stock with a market value of &#36;5,000 or more may elect to receive a fixed amount from their investment at regular
intervals by selling their shares to the Corporation.</FONT></P>
<P align="left">
<B><FONT color="#8C2633" size=2 face="serif">Traditional Individual Retirement Account (IRA). </FONT></B><FONT size=2 face="serif">Stockholders who have earned income and are under age 70&#189; may contribute up to &#36;5,000 per year to a Traditional IRA for 2008. A
working or non-working spouse may also contribute up to &#36;5,000 to a separate Traditional IRA for 2008. Additionally, individuals who reach age 50 prior
to the end of a taxable year may make &#147;catch-up contributions&#148; to a Traditional IRA of up to &#36;1,000. Contributions to a Traditional IRA may be deductible or non-deductible. If you are single and <I>not
</I>covered by an employer&#146;s retirement plan, your contribution will always be deductible. For individuals who are covered by a plan, contributions will be fully deductible if your modified adjusted gross income
(MAGI) in 2008 is less than &#36;53,000. For spouses who are both covered by a plan, contributions will be fully deductible if your MAGI is less than &#36;85,000. If one spouse does not work or is not covered by a retirement plan, that spouse&#146;s
contribution will be fully deductible provided your household MAGI does not exceed &#36;159,000. If your contribution is not deductible, you may still take advantage of the tax-deferred accumulation of earnings in your Traditional IRA.</FONT></P>
<P align="left">
<B><FONT color="#8C2633" size=2 face="serif">Rollover IRA</FONT></B><FONT color="#8C2633" size=2 face="serif">. </FONT><FONT size=2 face="serif">You may be eligible to roll over a distribution of assets received from another IRA, a qualified employee
benefit plan, or tax-deferred annuity into a Rollover IRA with
Tri-Continental. To avoid a tax penalty, the transfer to a Rollover IRA must occur within 60 days of receipt of the qualifying distribution. If you do not make a direct transfer of a distribution from a qualified employee benefit plan
or a tax-deferred annuity to a Rollover IRA, the payor of the distribution must withhold 20% of the distribution.</FONT></P>
<P align="center">
<I><FONT color="#8C2633" face="serif">6</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Stockholder Services </FONT></B><FONT size=2 face="serif">(continued)</FONT></P>
<P align="left">
<B><FONT color="#8C2633" size=2 face="serif">Roth IRA</FONT></B><FONT color="#8C2633" size=2 face="serif">.</FONT><FONT size=2 face="serif"> You (and a working or non-working spouse) may (each) make an after-tax contribution of up to &#36;5,000 per year to a Roth IRA provided you have earned income and meet the
eligibility requirements. Your MAGI must be less than &#36;101,000 for individuals or &#36;159,000 for married couples to be eligible to make a full contribution to a Roth IRA. You are eligible to make a partial Roth IRA contribution if your MAGI is
below &#36;116,000 for individuals or &#36;169,000 for married couples. Total combined contributions to a Roth IRA and a Traditional IRA cannot exceed &#36;5,000 in any year. Additionally, individuals who reach age 50 prior to the end of a taxable
year may make &#147;catch-up contributions&#148; to either a Roth IRA or Traditional IRA of up to &#36;1,000. Earnings grow tax-free and will be distributed to you tax-free and penalty-free provided that you hold your account for at least five
years </FONT><B><FONT size=2 face="serif">and </FONT></B><FONT size=2 face="serif">you take the distribution either after age 59&#189;, for disability, upon
death, or to make a first-time home purchase (up to &#36;10,000). Unlike a Traditional IRA, you may contribute to a Roth IRA even if you are over age 70&#189; (if you have earned income), and you are not required to take minimum distributions
at age 70&#189;. You may convert an existing Traditional IRA to
a Roth IRA to take advantage of tax-free distributions. You must pay taxes on any earnings and deductible contributions in your Traditional IRA when converting it to a Roth IRA. Talk to your financial advisor for more details on converting your
Traditional IRA.</FONT></P>
<P align="left">
<B><FONT color="#8C2633" size=2 face="serif">Retirement Planning &#151; Qualified Plans. </FONT></B><FONT size=2 face="serif">Unincorporated businesses and the self-employed may take advantage of the same benefits in their retirement plans that are available to
corporations. Contribution levels can go as high as 100% of earned income (reduced by plan contributions), to a maximum of &#36;46,000 per participant. For retirement plan purposes, no more than &#36;230,000 may be taken into account as earned
income under the plan in 2008. Social Security integration and employee vesting schedules are also available as options in the Tri-Continental prototype retirement plans. Although you already may be participating in an employer&#146;s retirement
plan, you may be eligible to establish another plan based upon income from other sources, such as director&#146;s fees.</FONT></P>
<P align="left">
<B><FONT color="#8C2633" size=2 face="serif">Retirement Plan Services </FONT></B><FONT size=2 face="serif">provides information about our prototype retirement plans. The toll-free telephone number is (800) 445-1777 in the US and (212) 682-7600 outside the
US.</FONT></P>
<P align="center">&nbsp;</P>
<P align="center"><I><FONT color="#8C2633" face="serif">7</FONT></I></P>
<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Diversification of Net Investment Assets</FONT></B></P>
<P align="left">
<FONT size=2 face="serif">The diversification of portfolio holdings by industry on June 30, 2008 was as follows. Individual securities owned are listed on pages 11 through 16.</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=95%></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD align="center"></TD>
     <TD align="center"></TD>
     <TD align="center"></TD></TR>
<TR valign="bottom">
  <TD width="95%" align=left>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD colspan=3 align=center nowrap><b><font size=1 face="serif">Percent of Net</font></b></TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD colspan=3 align=center nowrap style="border-bottom:1px solid #000000;"><b><font size=1 face="serif">Investment
    Assets</font></b> </TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<B><FONT size=1 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;June 30,&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<B><FONT size=1 face="serif">&nbsp;&nbsp;December 31,&nbsp;&nbsp;</FONT></B>  </TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<B><FONT size=2 face="serif">Common Stocks:</FONT></B>  </TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Issues&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
    <B><FONT size=1 face="serif">Cost</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
    <B><FONT size=1 face="serif">Value</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">2008</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">2007</FONT></B>  </TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Aerospace and Defense</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">4</FONT></TD>
  <TD align=right>&nbsp;&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left><font size=2 face="serif">&#36;</font></TD>
  <TD align=right>
<FONT size=2 face="serif">47,987,732</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left><font size=2 face="serif">&#36;</font></TD>
  <TD align=right>
<FONT size=2 face="serif">49,083,932</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.5</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.8</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Air Freight and Logistics</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">21,630,321</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">19,111,023</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.0</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.5</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Airlines</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">2</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">24,429,036</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">10,828,299</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.5</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.2</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Auto Components</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.1</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Automobiles</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.4</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Biotechnology</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">3</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">50,027,508</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">41,476,479</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.1</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.9</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Capital Markets</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">5</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">80,439,935</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">52,858,730</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.7</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">4.4</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Chemicals</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">7,788,442</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">9,255,408</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.5</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">&#151;</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Commercial Banks</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">2</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">43,704,076</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">22,980,363</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.2</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.2</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Commercial Services and Supplies</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.0</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Communications Equipment</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">5</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">115,664,208</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">99,176,178</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">5.0</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">5.6</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Computers and Peripherals</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">2</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">45,376,169</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">45,403,626</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.3</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">4.2</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Construction and Engineering</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">2</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">19,642,498</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">21,734,002</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.1</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.2</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Consumer Finance</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">15,966,204</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">11,737,972</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.6</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.1</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Containers and Packaging</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">62,031,432</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">19,445,255</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.0</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.3</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Diversified Financial Services</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">4</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">107,995,065</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">63,027,198</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">3.2</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">3.9</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Diversified Telecommunication</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;Services</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">4</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">93,934,449</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">69,704,305</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">3.5</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.4</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Electric Utilities</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">17,155,892</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">18,774,652</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.9</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.7</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Electrical Equipment</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">2</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">15,855,170</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">14,550,379</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.7</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.5</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Energy Equipment and Services</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">6</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">73,275,698</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">89,993,856</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">4.6</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">3.1</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Food and Staples Retailing</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">2</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">84,166,360</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">32,264,937</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.6</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.3</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left>
<FONT size=2 face="serif">Health Care Equipment and Supplies </FONT></TD>
  <TD align=right><FONT size=2 face="serif">3</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">31,940,656</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">31,547,330</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.6</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.0</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Health Care Providers and Services</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">6</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">55,688,338</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">45,444,029</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.3</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.7</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Hotels, Restaurants and Leisure</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.9</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Independent Power Producers and</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;Energy Traders</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">13,630,160</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">12,863,016</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.7</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.6</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Industrial Conglomerates</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">2</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">50,072,913</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">38,803,653</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.0</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.5</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Insurance</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">4</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">86,490,031</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">60,146,366</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">3.1</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.5</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Internet Software and Services</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">3</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">102,186,125</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">61,364,123</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">3.1</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.3</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Life Sciences Tools and Services</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">11,256,274</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">10,569,636</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.5</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.7</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Machinery</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">7,530,224</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">6,253,671</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.3</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.1</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Media</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.7</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Metals and Mining</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">4</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">56,320,232</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">61,887,653</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">3.1</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">2.2</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Multi-Utilities</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">23,531,760</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">24,370,458</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.2</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">&#151;</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Multiline Retail</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">26,535,841</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">23,333,331</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.2</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">1.8</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Oil, Gas and Consumable Fuels</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">8</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">183,613,311</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">230,799,973</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">11.7&nbsp;&nbsp;</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">9.6</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Pharmaceuticals</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">10</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">196,314,057</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">168,589,695</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">8.6</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">5.4</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Real Estate Investment Trusts</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">0.3</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">Semiconductors and</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;Semiconductor Equipment</FONT></TD>
  <TD align=right>
<FONT size=2 face="serif">4</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">96,043,006</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right>
<FONT size=2 face="serif">94,370,646</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">4.8</FONT></TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>
<FONT size=2 face="serif">3.5</FONT></TD>
</TR>
</TABLE>
<BR>
<P align="right">
<I><FONT size=2 face="serif">(continued on page 9)</FONT></I></P>
<P align="center">
<I><FONT color="#8C2633" face="serif">8</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=95%></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD align="left"></TD>
     <TD></TD>
     <TD></TD>
     <TD align="left"></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
</TR>
<TR valign="bottom">
  <TD align=left colspan=9>
<B><FONT face="serif">Diversification of Net Investment Assets </FONT></B><FONT size=2 face="serif">(continued)</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD colspan=4 align=center nowrap><b><font size=1 face="serif">Percent of Net</font></b></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD align=center>&nbsp;</TD>
  <TD colspan=4 align=center nowrap style="border-bottom:1px solid #000000;"><b><font size=1 face="serif">Investment
        Assets</font></b> </TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=center>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap><B><FONT size=1 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;June
        30,&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></B> </TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD colspan="2" align=center nowrap><B><FONT size=1 face="serif">&nbsp;&nbsp;December 31,&nbsp;&nbsp;</FONT></B> </TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=center><div align="left"></div></TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><B><FONT size=1 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;Issues&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></B> </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><B><FONT size=1 face="serif">Cost</FONT></B> </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><B><FONT size=1 face="serif">Value</FONT></B> </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;"><B><FONT size=1 face="serif">2008</FONT></B> </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><B><FONT size=1 face="serif">2007</FONT></B> </TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT size=2 face="serif">Common Stocks: </FONT></B><FONT size=2 face="serif">(continued)</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Software</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">5</FONT></TD>
  <TD align=right nowrap>&nbsp;&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">129,673,895</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">118,035,462</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">6.0</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">3.2</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Specialty Retail</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">60,693,080</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">24,850,083</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1.3</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1.1</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Textiles, Apparel and Luxury Goods</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">0.6</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Thrifts and Mortgage Finance</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">37</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">4</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right nowrap>&nbsp;&nbsp;&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Tobacco</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">3</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">59,947,467</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">64,491,848</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">3.3</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2.6</FONT></TD>
  <TD align=right nowrap>&nbsp;&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Wireless Telecommunication</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;Services</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">12,726,984</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">7,873,842</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">0.4</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">1.6</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT size=2 face="serif">Total Common Stocks</FONT></B>  </TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">109</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2,131,264,586</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,777,001,413</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">90.2</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">89.7</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT size=2 face="serif">Options Purchased</FONT></B>  </TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">21</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">35,303,275</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,867,347</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">0.8</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1.0</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT size=2 face="serif">Tri-Continental Financial</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=center nowrap>
    <div align="left"><B><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;Division</FONT></B> </div></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">4,292,803</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2,192,377</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">0.1</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">0.1</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT size=2 face="serif">Equity-Linked Notes</FONT></B>  </TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">7</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">105,426,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">84,944,527</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">4.3</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">5.3</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT size=2 face="serif">Time Deposit</FONT></B>  </TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">97,651,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">97,651,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">5.0</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2.7</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT size=2 face="serif">Other Assets Less Liabilities</FONT></B>  </TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">(7,050,042</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">(7,050,042</FONT>  </TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT>  </TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">(0.4</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">1.2</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT size=2 face="serif">Net Investment Assets</FONT></B>  </TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<B><FONT size=2 face="serif">139</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">&#36;</font></b></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">2,366,887,622</font></b></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">&#36;</font></b></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">1,969,606,622</font></b></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<B><FONT size=2 face="serif">100.0</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<B><FONT size=2 face="serif">100.0</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
</TABLE><BR>
<P align="center">&nbsp;</P>
<P align="center">&nbsp;</P>
<P align="center"><I><FONT color="#8C2633" face="serif">9</FONT></I></P>
<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Ten Largest Equity Holdings&#134;</FONT></B></P>
<P align="left">
<B><FONT size=2 face="serif">June 30, 2008</FONT></B></P>
<TABLE width=50% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=90%></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<B><FONT size=2 face="serif">Cost</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<B><FONT size=2 face="serif">Value</FONT></B>  </TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=2 face="serif">(000s)</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=2 face="serif">(000s)</FONT></B>  </TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Exxon Mobil Corporation</FONT></TD>
  <TD align=right nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">51,398</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">70,063</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Marvell Technology Group Ltd.</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">46,470</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">49,886</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Comverse Technology, Inc.</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">52,280</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">42,521</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Microsoft Corporation</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">43,837</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">40,711</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Chevron Corporation</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">30,890</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">40,415</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">AT&amp;T Inc.</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">40,787</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">34,734</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Philip Morris International Inc.</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">28,288</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">31,920</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">ConocoPhillips</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">23,903</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">31,819</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">General Electric Company</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">41,424</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">31,177</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>
<FONT size=2 face="serif">Wyeth</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">31,999</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">30,715</FONT></TD>
  </TR>
<TR valign="bottom">
  <TD width="90%" align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">&#36;</font></b></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<B><FONT size=2 face="serif">391,276</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">&#36;</font></b></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<B><FONT size=2 face="serif">403,961</FONT></B>  </TD>
  </TR>
</TABLE><BR>
<P align="left">
<FONT size=2 face="serif">There can be no assurance that the securities presented have remained or will remain in the Corporation&#146;s portfolio. Information regarding the Corporation&#146;s
portfolio holdings should not be construed as a recommendation to buy or sell
any security or as an indication that any security is suitable for a particular
investor.</FONT></P>
<P align="left">
<B><FONT face="serif">Largest Portfolio Changes<br>
</FONT></B><B><FONT size=2 face="serif">April 1 to June 30, 2008</FONT></B></P>
<TABLE width=90% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=45%></TD>
     <TD width=5%></TD>
     <TD width=50%></TD></TR>
<TR valign="bottom">
  <TD align=left>
<B><FONT size=2 face="serif" style="border-bottom:1px solid #000000;">Largest Purchases</FONT></B>  </TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>
<B><FONT size=2 face="serif" style="border-bottom:1px solid #000000;">Largest Sales</FONT></B>  </TD>
</TR>
<TR valign="bottom">
  <TD align=left>
<FONT size=2 face="serif">Public Service Enterprise Group Incorporated*</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>
<FONT size=2 face="serif">Kohl&#146;s Corporation**</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left>
<FONT size=2 face="serif">Activision Blizzard, Inc.*</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>
<FONT size=2 face="serif">International Business Machines**</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left>
<FONT size=2 face="serif">Chesapeake Energy Corporation*</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>
<FONT size=2 face="serif">Comverse Technology, Inc.</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left>
<FONT size=2 face="serif">Yahoo! Inc.</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>
<FONT size=2 face="serif">Johnson &amp; Johnson**</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left>
<FONT size=2 face="serif">Barrick Gold Corporation*</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>
<FONT size=2 face="serif">St. Jude Medical, Inc.**</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left>
<FONT size=2 face="serif">CIT Group, Inc.</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>
<FONT size=2 face="serif">Wynn Resorts, Limited**</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left>
<FONT size=2 face="serif">Occidental Petroleum Corporation*</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>
<FONT size=2 face="serif">Goodyear Tire &amp; Rubber Company (The)**</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left>
<FONT size=2 face="serif">Frontier Communications Corporation*</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>
<FONT size=2 face="serif">Waste Management Inc.**</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left>
<FONT size=2 face="serif">Hologic, Inc.*</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>
<FONT size=2 face="serif">Caterpillar Inc.**</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left>
<FONT size=2 face="serif">Exterran Holdings Inc.*</FONT></TD>
  <TD align=left>&nbsp;</TD>
  <TD align=left>
<FONT size=2 face="serif">General Dynamics Corporation**</FONT></TD>
</TR>
</TABLE><BR>
<P align="left">
<FONT size=2 face="serif">Largest portfolio changes from the previous period to the current period are based on cost of purchases and proceeds from sales of securities, listed in descending order.</FONT></P>
<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="100%" border="0" cellspacing="0" cellpadding="0">
  <tr>
    <td width="1%" align="right" valign="top" nowrap><font size=1 face="serif">&#134;</font></td>
    <td width="1%" align="left" valign="top" nowrap>&nbsp;&nbsp;</td>
    <td width="98%" align="left" valign="top" nowrap><font size=1 face="serif">Excludes options
    purchased.</font></td>
  </tr>
  <tr>
    <td align="right" valign="top" nowrap><font size=1 face="serif">* </font></td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><font size=1 face="serif">Position added
    during the period.</font></td>
  </tr>
  <tr>
    <td align="right" valign="top" nowrap><font size=1 face="serif">** </font></td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><font size=1 face="serif">Position eliminated
    during the period.</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>
<P align="center">
<I><FONT color="#8C2633" face="serif">10</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Portfolio of Investments &nbsp;&nbsp;</FONT></B><FONT size=2 face="serif">(unaudited)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; June 30, 2008</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=95%></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Shares</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Value</FONT></B>  </TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">COMMON STOCKS 90.2%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">AEROSPACE AND DEFENSE 2.5%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Boeing Company (The)</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">137,900</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">9,062,788</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Honeywell International Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">382,700</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">19,242,156</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Raytheon Company</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">175,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">9,882,768</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">United Technologies Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">176,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">10,896,220</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;49,083,932</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD colspan=2 align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">AIR FREIGHT AND LOGISTICS 1.0%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">United Parcel Service, Inc. (Class B)</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">310,900</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">19,111,023</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">AIRLINES 0.5%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Delta Air Lines, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,085,429</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">6,186,945</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Northwest Airlines Corporation*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">696,900</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">4,641,354</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">10,828,299</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">BIOTECHNOLOGY 2.1%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Amgen Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">193,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">9,130,176</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Cephalon, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">346,700</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">23,121,423</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">ImClone Systems Incorporated*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">228,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">9,224,880</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">41,476,479</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">CAPITAL MARKETS 2.7%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Bank of New York Mellon Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">241,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">9,139,728</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Fortress Investments Group LLC (Class A)</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,242,029</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">15,301,797</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Janus Capital Group Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">378,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">10,021,542</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Morgan Stanley</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">377,300</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">13,609,211</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">State Street Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">74,800</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">4,786,452</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">52,858,730</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">CHEMICALS 0.5%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Monsanto Company</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">73,200</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">9,255,408</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">COMMERCIAL BANKS 1.2%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Wachovia Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">617,063</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">9,582,988</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Wells Fargo &amp; Company</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">564,100</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">13,397,375</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">22,980,363</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD colspan=2 align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">COMMUNICATIONS EQUIPMENT 5.0%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Cisco Systems, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">762,980</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">17,746,915</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Comverse Technology, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2,508,614</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">42,521,007</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Nokia Corp. (ADR)</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">459,200</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">11,250,400</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">QUALCOMM Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">426,800</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">18,937,116</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Research in Motion Limited</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">74,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">8,720,740</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">99,176,178</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD colspan=2 align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">COMPUTERS AND PERIPHERALS 2.3%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Apple Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">111,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">18,585,840</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Hewlett-Packard Company</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">606,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">26,817,786</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">45,403,626</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
</TABLE>
<br>
<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="60%" border="0" cellpadding="0" cellspacing="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">See footnotes
    on page 16.</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>
<P align="center">
<I><FONT color="#8C2633" face="serif">11</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Portfolio of Investments &nbsp;&nbsp;</FONT></B><FONT size=2 face="serif">(unaudited)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; June 30, 2008</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=95%></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Shares</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Value</FONT></B>  </TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD colspan=2 align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">CONSTRUCTION AND ENGINEERING 1.1%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Foster Wheeler Ltd.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">165,400</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;12,099,010</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Quanta Services, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">289,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">9,634,992</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">21,734,002</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">CONSUMER FINANCE 0.6%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">American Express Company</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">311,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">11,737,972</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">CONTAINERS AND PACKAGING 1.0%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Smurfit-Stone Container Corporation*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">4,777,704</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">19,445,255</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD colspan=2 align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">DIVERSIFIED FINANCIAL SERVICES 3.2%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Bank of America Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">919,140</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">21,939,872</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">CIT Group, Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,284,200</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">8,745,402</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">CME Group Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">12,100</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">4,636,599</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">JPMorgan Chase &amp; Co.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">807,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">27,705,325</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">63,027,198</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD colspan=2 align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">DIVERSIFIED TELECOMMUNICATION SERVICES 3.5%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">AT&amp;T Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,031,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">34,734,390</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Frontier Communications Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,011,300</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">11,468,142</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Qwest Communications International Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">3,746,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,723,745</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">tw telecom inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">547,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">8,778,028</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">69,704,305</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">ELECTRIC UTILITIES 0.9%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Exelon Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">208,700</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">18,774,652</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">ELECTRICAL EQUIPMENT 0.7%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">ABB Limited (ADR)*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">348,200</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">9,861,024</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">JA Solar Holdings Co. Ltd. (ADR)*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">278,300</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">4,689,355</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">14,550,379</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD colspan=2 align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">ENERGY EQUIPMENT AND SERVICES 4.6%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Baker Hughes Incorporated</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">154,200</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">13,467,828</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Exterran Holdings Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">148,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">10,623,414</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Halliburton Company</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">340,700</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">18,080,949</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Noble Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">251,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">16,343,936</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Schlumberger Limited</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">159,100</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">17,092,113</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Transocean Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">94,400</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">14,385,616</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">89,993,856</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">FOOD AND STAPLES RETAILING 1.6%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">CVS Caremark Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">203,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">8,052,495</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Rite Aid Corporation*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">15,227,951</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">24,212,442</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">32,264,937</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD colspan=2 align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">HEALTH CARE EQUIPMENT AND SUPPLIES 1.6%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Baxter International Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">141,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">9,015,540</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Hologic, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">528,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">11,521,300</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Zimmer Holdings, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">161,800</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">11,010,490</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">31,547,330</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
</TABLE>
<br>

<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="60%" border="0" cellpadding="0" cellspacing="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">See footnotes
        on page 16.</font></td>
  </tr>
</table>
<P align="center">
<I><FONT color="#8C2633" face="serif">12</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left"><B><FONT face="serif">Portfolio of Investments &nbsp;&nbsp;</FONT></B><FONT size=2 face="serif">(unaudited)
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; June 30, 2008</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=95%></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Shares</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Value</FONT></B>  </TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">HEALTH CARE PROVIDERS AND SERVICES 2.3%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">CIGNA Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">109,100</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">3,861,049</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Express Scripts, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">153,800</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">9,646,336</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Health Net, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">406,475</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">9,779,789</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Medco Health Solutions, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">105,800</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">4,993,760</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Quest Diagnostics Incorporated</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">233,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">11,317,745</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">UnitedHealth Group Incorporated</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">222,680</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">5,845,350</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;45,444,029</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">INDEPENDENT POWER PRODUCERS AND</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=right nowrap>
    <div align="left"><B><FONT color="#8C2633" size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;ENERGY TRADERS 0.7%</FONT></B>      </div></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">AES Corporation (The)*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">669,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">12,863,016</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">INDUSTRIAL CONGLOMERATES 2.0%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">3M Company</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">109,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">7,627,064</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">General Electric Company</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,168,100</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">31,176,589</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">38,803,653</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">INSURANCE 3.1%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">American International Group, Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">556,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,724,990</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Hartford Financial Services Group, Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">283,100</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">18,279,767</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">MetLife, Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">314,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">16,601,442</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Prudential Financial, Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">176,434</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">10,540,167</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">60,146,366</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">INTERNET SOFTWARE AND SERVICES 3.1%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Google Inc. (Class A)*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">39,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">20,793,590</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">SAVVIS, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,194,170</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">15,416,735</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Yahoo! Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,217,512</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">25,153,798</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">61,364,123</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">LIFE SCIENCES TOOLS AND SERVICES 0.5%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Applied Biosystems, Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">315,700</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">10,569,636</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">MACHINERY 0.3%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Deere &amp; Company</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">86,700</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">6,253,671</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">METALS AND MINING 3.1%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Alcoa Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">529,613</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">18,864,815</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Barrick Gold Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">319,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,537,250</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Freeport-McMoRan Copper &amp; Gold, Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">200,700</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">23,520,033</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Nucor Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">66,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">4,965,555</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">61,887,653</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">MULTI-UTILITIES 1.2%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Public Service Enterprise Group Incorporated</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">530,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">24,370,458</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">MULTILINE RETAIL 1.2%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Target Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">501,900</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">23,333,331</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
</TABLE>
<BR>

<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="60%" border="0" cellpadding="0" cellspacing="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">See footnotes
        on page 16.</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>
<P align="center">
<I><FONT color="#8C2633" face="serif">13</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Portfolio of Investments &nbsp;&nbsp;</FONT></B><FONT size=2 face="serif">(unaudited)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; June 30, 2008</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=95%></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Shares</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Value</FONT></B>  </TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">OIL, GAS AND CONSUMABLE FUELS 11.7%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Chesapeake Energy Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">374,800</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">24,721,808</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Chevron Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">407,700</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">40,415,301</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">ConocoPhillips</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">337,100</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">31,818,869</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">El Paso Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,103,800</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">23,996,612</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Exxon Mobil Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">795,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">70,063,350</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Occidental Petroleum Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">142,400</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">12,796,064</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Valero Energy Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">280,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">11,530,400</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">XTO Energy, Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">225,625</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">15,457,569</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">&nbsp;&nbsp;230,799,973</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">PHARMACEUTICALS 8.6%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Abbott Laboratories</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">372,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">19,731,325</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Barr Pharmaceuticals Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">286,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">12,892,880</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Bristol-Myers Squibb Company</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">869,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">17,840,570</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Forest Laboratories, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">449,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">15,615,630</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Merck &amp; Co. Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">292,200</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">11,013,018</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Mylan, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,629,700</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">19,670,479</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Pfizer Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,145,138</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">20,005,561</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Schering-Plough Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">503,300</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">9,909,977</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Sepracor Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">562,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">11,195,040</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Wyeth</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">640,434</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">30,715,215</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">168,589,695</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">SEMICONDUCTORS AND SEMICONDUCTOR</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=right nowrap>
    <div align="left"><B><FONT color="#8C2633" size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;EQUIPMENT 4.8%</FONT></B> </div></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Intel Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">971,800</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">20,874,264</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Marvell Technology Group Ltd.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2,824,781</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">49,885,632</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">MEMC Electronic Materials, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">170,700</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">10,504,878</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">NVIDIA Corporation*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">700,100</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">13,105,872</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">94,370,646</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">SOFTWARE 6.0%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Activision Blizzard, Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">677,500</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">23,082,425</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">BMC Software Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">280,200</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">10,087,200</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Macrovision Solutions Corporation*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,688,028</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">25,252,898</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Microsoft Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,479,856</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">40,710,839</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Oracle Corporation*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">900,100</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">18,902,100</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">118,035,462</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">SPECIALTY RETAIL 1.3%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Home Depot, Inc. (The)</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">308,200</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">7,218,044</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">OfficeMax Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,268,492</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">17,632,039</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">24,850,083</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">THRIFTS AND MORTGAGE FINANCE 0.0%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Countrywide Financial Corporation</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">4</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=6 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">TOBACCO 3.3%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Altria Group, Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">684,880</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,081,133</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Philip Morris International Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">646,280</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">31,919,769</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">UST Inc.</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">338,600</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">18,490,946</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">64,491,848</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
</TABLE>
<BR>

<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="60%" border="0" cellpadding="0" cellspacing="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">See footnotes
        on page 16.</font></td>
  </tr>
</table>
<P align="center">
<I><FONT color="#8C2633" face="serif">14</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Portfolio of Investments &nbsp;&nbsp;</FONT></B><FONT size=2 face="serif">(unaudited)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; June 30, 2008</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=95%></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD colspan="2" align=center nowrap>
<B><FONT size=1 face="serif">Shares or Shares</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Subject to Call/Put</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Value</FONT></B>  </TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=7 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">WIRELESS TELECOMMUNICATION SERVICES 0.4%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">NII Holdings Inc.*</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">165,800</FONT></TD>
  <TD align=right nowrap>&nbsp;&nbsp;&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;"><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">7,873,842</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">TOTAL COMMON STOCKS </FONT></B><FONT size=2 face="serif">(Cost &#36;2,131,264,586)</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">1,777,001,413</FONT>  </TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=7 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
    <font color="#8C2633"><B><FONT size=2 face="serif">OPTIONS PURCHASED</FONT></B><FONT size=2 face="serif">* <B>0.8%</B></FONT>    </font></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR>
  <TD colspan=7 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">AIRLINES 0.1%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Delta Air Lines, Inc., Call expiring September 2008 at &#36;7.50</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">168,800</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">165,424</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Northwest Airlines Corporation, Call expiring September 2008 at &#36;7.50</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">775,100</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,085,140</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">UAL Corp., Call expiring September 2008 at &#36;10</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">839,200</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">461,560</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">1,712,124</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=7 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">BIOTECHNOLOGY 0.0%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Amgen Inc., Call expiring January 2009 at &#36;60</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">394,300</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">240,523</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=7 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">COMMUNICATIONS EQUIPMENT 0.0%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">JDS Uniphase Corporation, Call expiring January 2009 at &#36;15</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">994,900</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">547,195</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Motorola, Inc., Call expiring January 2009 at &#36;20</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,096,200</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">27,405</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">574,600</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=7 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">DIVERSIFIED FINANCIAL SERVICES 0.0%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">CIT Group, Inc., Call expiring January 2009 at &#36;35</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">303,600</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">15,180</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Citigroup Inc., Call expiring January 2009 at &#36;30</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">565,200</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">101,736</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">116,916</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=7 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">FOOD AND STAPLES RETAILING 0.0%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Rite Aid Corporation, Call expiring January 2009 at &#36;5</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">3,495,200</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">262,140</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=7 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">HOTELS, RESTAURANTS AND LEISURE 0.0%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Starbucks Corporation, Call expiring January 2009 at &#36;30</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">583,400</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">29,170</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=7 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">INDEX DERIVATIVES 0.2%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">S&amp;P 500 Index, Put expiring July 2008 at &#36;1,400</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">21,200</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2,531,280</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">S&amp;P 500 Index, Put expiring August 2008 at &#36;1,250</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">21,900</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">641,670</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">United States Oil Fund, Put expiring October 2008 at &#36;100</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">152,600</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">839,300</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">4,012,250</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=7 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">INTERNET SOFTWARE AND SERVICES 0.1%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Yahoo! Inc., Call expiring January 2009 at &#36;30</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">556,300</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">250,335</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Yahoo! Inc., Call expiring January 2009 at &#36;25</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,233,500</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">1,813,245</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">2,063,580</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR>
  <TD colspan=7 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">PHARMACEUTICALS 0.2%</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Bristol-Myers Squibb Company, Call expiring January 2009 at &#36;25</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">738,800</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">280,744</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Wyeth, Call expiring July 2008 at &#36;42.50</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">170,400</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">954,240</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Wyeth, Call expiring October 2008 at &#36;45</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">280,900</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">1,460,680</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">2,695,664</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
</TR>
</TABLE>
<BR>


<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="60%" border="0" cellpadding="0" cellspacing="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">See footnotes
        on page 16.</font></td>
  </tr>
</table>
<P align="center">
<I><FONT color="#8C2633" face="serif">15</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Portfolio of Investments &nbsp;&nbsp;</FONT></B><FONT size=2 face="serif">(unaudited)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; June 30, 2008</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=95%></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
     <TD></TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD colspan="2" align=center nowrap>
<B><FONT size=1 face="serif">Shares Subject</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD colspan="2" align=center nowrap>
<B><FONT size=1 face="serif">to Call, Partnership</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD colspan="2" align=center nowrap>
<B><FONT size=1 face="serif">Interest or</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Principal Amount</FONT></B>  </TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=1 face="serif">Value</FONT></B>  </TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  </TR>
<TR>
  <TD colspan=8 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">SEMICONDUCTORS AND SEMICONDUCTOR</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; EQUIPMENT 0.2%</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Marvell Technology Group Ltd., Call expiring January 2009 at &#36;20</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">908,200</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">&nbsp;shs.</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,589,350</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Marvell Technology Group Ltd., Call expiring January 2009 at &#36;15</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">352,900</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,517,470</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Micron Technology Inc., Call January 2009 at &#36;15</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2,142,400</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">53,560</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">3,160,380</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">TOTAL OPTIONS PURCHASED </FONT></B><FONT size=2 face="serif">(Cost &#36;35,303,275)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">14,867,347</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  </TR>
<TR>
  <TD colspan=8 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">LIMITED PARTNERSHIP 0.1%</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">WCAS Capital Partners II, L.P.&#134; (Cost &#36;4,292,803)</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">4,292,803</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">2,192,377</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  </TR>
<TR>
  <TD colspan=8 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">SHORT-TERM HOLDINGS 9.3%</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  </TR>
<TR>
  <TD colspan=8 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">EQUITY-LINKED NOTES&#134;&#134; 4.3%</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Credit Suisse 39.54%, 11/21/08(a)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">15,603,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,239,142</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Deutsche Bank:</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 39%, 9/5/08(b)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,844,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,073,596</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 37.5%, 11/20/08(c)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">15,603,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">13,502,992</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Goldman Sachs Group 34.6%, 10/2/08(d)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,844,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">12,400,678</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Lehman Brothers:</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 53.51%, 9/14/08(e)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,844,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">7,607,550</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; 39.5%, 10/2/08(f)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,844,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">11,259,322</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Morgan Stanley 37.05%, 10/17/08(g)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,844,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">11,861,247</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  </TR>
<TR>
  <TD colspan=8 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">TOTAL EQUITY-LINKED NOTES </FONT></B><FONT size=2 face="serif">(Cost &#36;105,426,000)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">84,944,527</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  </TR>
<TR>
  <TD colspan=8 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">TIME DEPOSIT 5.0%</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<FONT size=2 face="serif">Bank of Nova Scotia 5.15%, 7/1/08 (Cost &#36;97,651,000)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">97,651,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">97,651,000</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  </TR>
<TR>
  <TD colspan=8 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">TOTAL SHORT-TERM HOLDINGS </FONT></B><FONT size=2 face="serif">(Cost &#36;203,077,000)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">182,595,527</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  </TR>
<TR>
  <TD colspan=8 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT size=2 face="serif">TOTAL INVESTMENTS </FONT></B><FONT size=2 face="serif">(Cost &#36;2,373,937,664) </FONT><B><FONT size=2 face="serif">100.4%</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<B><FONT size=2 face="serif">1,976,656,664</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT size=2 face="serif">OTHER ASSETS LESS LIABILITIES (0.4)</FONT></B><FONT size=2 face="serif">%</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=2 face="serif">(7,050,042</FONT></B>  </TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;"><b><font size=2 face="serif">)</font></b></TD>
  </TR>
<TR valign="bottom">
  <TD width="95%" align=left nowrap>
<B><FONT size=2 face="serif">NET INVESTMENT ASSETS 100.0%</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">&#36;</font></b></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<B><FONT size=2 face="serif">1,969,606,622</FONT></B>  </TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">&nbsp;</TD>
  </TR>
</TABLE>


<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="100%" border="0" cellspacing="0" cellpadding="0">
  <tr>
    <td width="1%" align="right" valign="top" nowrap><font size=1 face="serif">*</font></td>
    <td width="1%" align="left" valign="top" nowrap>&nbsp;&nbsp;</td>
    <td width="98%" align="left" valign="top"><font size=1 face="serif">Non-income producing
    security. </font></td>
  </tr>
  <tr>
    <td align="right" valign="top" nowrap><font size=1 face="serif">&#134; </font></td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top"><font size=1 face="serif">Restricted security.</font></td>
  </tr>
  <tr>
    <td align="right" valign="top" nowrap><font size=1 face="serif">&#134;&#134; </font></td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top"><font size=1 face="serif">The security may
        be offered and sold only to &#147;qualified institutional buyers&#148; under
        Rule 144A of the Securities Act of 1933.<br>
    </font><font size=1 face="serif">These notes are exchangeable at maturity,
    based on the terms of the respective notes, for shares of common stock of
    a company or cash at a maturity value which is generally determined as follows:
    <br>
    The principal amount of the notes plus or minus the lowest return of the
    companies&#146; respective stock prices determined at maturity from the date
    of purchase of the notes:<br>
(a) Energizer Holdings, Inc., Longs Drug Stores Corporation and Sepracor Inc.<br>
    </font><font size=1 face="serif">(b) Oracle Corporation, Schering-Plough
    Corporation and Target Corporation.<br>
    </font><font size=1 face="serif">(c) CIGNA Corporation, Hologic, Inc. and
    Qwest Communications International Inc.<br>
(d) Adobe Systems Incorporated, UnitedHealth Group Incorporated and Wyeth.<br>
    </font><font size=1 face="serif">(e) Delta Air Lines, Inc., Intel Corporation
    and Mylan Inc.<br>
    </font><font size=1 face="serif">(f) Health Net, Inc., Kohl&#146;s Corporation
    and Prudential Financial, Inc.<br>
    </font><font size=1 face="serif">(g) Comcast Corporation, Merck &amp; Co.,
    Inc. and Nokia Corporation ADR.</font></td>
  </tr>
  <tr>
    <td colspan="3" align="left" valign="top" nowrap><font size=1 face="serif">ADR &#151; American
        Depositary Receipts. <br>
See Notes to Financial Statements.</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>

<P align="center">
<I><FONT color="#8C2633" face="serif">16</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Statement of Assets and Liabilities &nbsp;&nbsp;</FONT></B><FONT size=2 face="serif">(unaudited)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; June 30, 2008</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=93%></TD>
     <TD width=2%></TD>
     <TD width=0% align="left"></TD>
     <TD width=5%></TD>
     <TD width=0%></TD></TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Assets:</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Investments, at value</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Common stocks (cost &#36;2,131,264,586)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,777,001,413</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Options purchased (cost &#36;35,303,275)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">14,867,347</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Limited Partnership (cost &#36;4,292,803)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2,192,377</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Equity-linked notes (cost &#36;105,426,000)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">84,944,527</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Time deposit (cost &#36;97,651,000)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">97,651,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Total investments (cost &#36;2,373,937,664)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,976,656,664</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Restricted cash</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">206,670</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Receivable for securities sold</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">31,251,306</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Dividends and interest receivable</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">4,731,979</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Investment in, and expenses prepaid to, stockholder service agent</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">143,346</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Other</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">114,008</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT size=2 face="serif">Total Assets</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=2 face="serif">2,013,103,973</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Liabilities:</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Payable for securities purchased</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">41,075,083</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Payable for Common Stock repurchased</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">738,062</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Management fee payable</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">710,909</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Preferred dividends payable</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">498,136</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Bank overdraft</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,203</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Accrued expenses and other</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">473,958</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT size=2 face="serif">Total Liabilities</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=2 face="serif">43,497,351</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Net Investment Assets</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,969,606,622</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Preferred Stock</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">37,637,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Net Assets for Common Stock</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">&#36;</font></b></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<B><FONT size=2 face="serif">1,931,969,622</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT size=2 face="serif">Net Assets per share of Common Stock</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; (Market value&#151;&#36;16.54)</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right><B><FONT size=2 face="serif"><div style="border-bottom:3px double #000000; margin-left:40px">&#36;18.65</div></FONT></B></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR>
  <TD colspan=5 nowrap>&nbsp;</TD>
</TR>
<TR>
  <TD colspan=5 nowrap>&nbsp;</TD>
</TR>
<TR>
  <TD colspan=5 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT face="serif">Statement of Capital Stock and Surplus&nbsp;&nbsp; </FONT></B><FONT size=2 face="serif">(unaudited)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; June 30, 2008</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR>
  <TD colspan=5 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Capital Stock:</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">&#36;2.50 Cumulative Preferred Stock, &#36;50 par value,</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; assets coverage per share &#36;2,616</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Shares authorized&#151;1,000,000; issued and</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; outstanding&#151;752,740</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">37,637,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Common Stock, &#36;0.50 par value:</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Shares authorized&#151;159,000,000; issued and</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; outstanding&#151;103,614,496</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">51,807,248</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Surplus:</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Capital surplus</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">2,434,689,091</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Dividends in excess of net investment income (Note 7)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(46,764</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Accumulated net realized losses (Note 7)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(157,198,953</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<FONT size=2 face="serif">Net unrealized depreciation of investments</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">(397,281,000</FONT></TD>
  <TD align=left valign="baseline" nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="93%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Net Investment Assets</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">&#36;</font></b></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<B><FONT size=2 face="serif">1,969,606,622</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
</TABLE>
<BR>

<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="60%" border="0" cellpadding="0" cellspacing="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">See Notes
    to Financial Statements.</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>
<P align="center">
<I><FONT color="#8C2633" face="serif">17</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Statement of Operations &nbsp;&nbsp;</FONT></B><FONT size=2 face="serif">(unaudited)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; For the Six Months Ended June 30, 2008</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=91%></TD>
     <TD width=3%></TD>
     <TD width=0% align="left"></TD>
     <TD width=5%></TD>
     <TD width=1%></TD></TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Investment Income:</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Interest</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">23,902,856</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Dividends (net of foreign taxes withheld of &#36;66,385)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">17,586,162</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<B><FONT size=2 face="serif">Total Investment Income</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=2 face="serif">41,489,018</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR>
  <TD colspan=5 nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Expenses:</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Management fee</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">4,482,001</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Stockholder account and registrar services</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,687,282</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Custody and related services</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">321,948</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Stockholder reports and communications</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">269,010</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Directors&#146; fees and expenses</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">105,751</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Stockholders&#146; meeting</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">102,437</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Audit and legal fees</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">77,375</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Registration</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">29,438</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Miscellaneous</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">114,571</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<B><FONT size=2 face="serif">Total Expenses</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=2 face="serif">7,189,813</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Net Investment Income</FONT></B><FONT color="#8C2633" size=2 face="serif">*</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=2 face="serif">34,299,205</FONT></B>  </TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Net Realized and Unrealized Gain (Loss)</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; on Investments and Options Written</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Net realized loss on investments</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(157,925,508</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Net realized gain on options written</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">726,555</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<FONT size=2 face="serif">Net change in unrealized depreciation of investments</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">(205,720,854</FONT>  </TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Net Loss on Investments and Options Written</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<B><FONT size=2 face="serif">(362,919,807</FONT></B>  </TD>
  <TD align=left valign="baseline" nowrap>
<B><FONT size=2 face="serif">)</FONT></B>  </TD>
</TR>
<TR valign="bottom">
  <TD width="91%" align=left nowrap>
<B><FONT color="#8C2633" size=2 face="serif">Decrease in Net Assets from Operations</FONT></B>  </TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">&#36;</font></b></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<B><FONT size=2 face="serif">(328,620,602</FONT></B>  </TD>
  <TD align=left valign="middle" nowrap>
<B><FONT size=2 face="serif">)</FONT></B>  </TD>
</TR>
</TABLE>
<BR>

<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="100%" border="0" cellpadding="0" cellspacing="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">* Net investment
        income for Common Stock is &#36;33,330,607, which is net of Preferred
    Stock dividends of &#36;968,598. </font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">See Notes
    to Financial Statements.</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>
<P align="center">
<I><FONT color="#8C2633" face="serif">18</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Statements of Changes in Net Investment Assets &nbsp;&nbsp;</FONT></B><FONT size=2 face="serif">(unaudited)</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
  <TR>
    <TD width=95%></TD>
    <TD></TD>
    <TD align="left"></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD align="left"></TD>
    <TD></TD>
    <TD></TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD colspan="2" align=center nowrap><B><FONT size=1 face="serif">Six Months
          Ended</FONT></B> </TD>
    <TD align=center nowrap>&nbsp;</TD>
    <TD align=center nowrap>&nbsp;</TD>
    <TD colspan="2" align=center nowrap><B><FONT size=1 face="serif">Year Ended</FONT></B> </TD>
    <TD align=center nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><B><FONT size=1 face="serif">June
          30, 2008</FONT></B> </TD>
    <TD align=center nowrap>&nbsp;</TD>
    <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><B><FONT size=1 face="serif">December
          31, 2007</FONT></B> </TD>
    <TD align=center nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT color="#8C2633" size=2 face="serif">Operations:</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Net investment
        income</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap><font size=2 face="serif">&#36;</font></TD>
    <TD align=right nowrap><FONT size=2 face="serif">34,299,205</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap><font size=2 face="serif">&#36;</font></TD>
    <TD align=right nowrap><FONT size=2 face="serif">86,219,926</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Net realized
        gain (loss) on investments</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(157,925,508</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">172,825,141</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Net realized
        gain on options written</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">726,555</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">8,407,353</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Net change in
        unrealized depreciation</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      of
        investments and options written</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">(205,720,854</FONT></TD>
    <TD align=left valign="baseline" nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">(286,497,113</FONT></TD>
    <TD align=left valign="baseline" nowrap><FONT size=2 face="serif">)</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT size=2 face="serif">Decrease in
          Net Investment Assets from</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left valign="baseline" nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left valign="baseline" nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    Operations</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">(328,620,602</FONT></B> </TD>
    <TD align=left valign="baseline" nowrap><B><FONT size=2 face="serif">)</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">(19,044,693</FONT></B> </TD>
    <TD align=left valign="baseline" nowrap><B><FONT size=2 face="serif">)</FONT></B> </TD>
  </TR>
  <TR>
    <TD colspan=9 nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT color="#8C2633" size=2 face="serif">Distributions
          to Stockholders:</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Net investment
        income:</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      Preferred
        Stock (per share: &#36;1.25 and &#36;2.50)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(968,598</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(1,881,850</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      Common
        Stock (per share: &#36;0.32 and &#36;0.87)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">(33,337,680</FONT></TD>
    <TD align=left valign="baseline" nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">(88,809,314</FONT></TD>
    <TD align=left valign="baseline" nowrap><FONT size=2 face="serif">)</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(34,306,278</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(90,691,164</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Net realized
        gain:</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      Common
        Stock (per share: &#36;0.31 and &#36;1.57)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(32,369,341</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(161,625,776</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Return of Capital:</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      Common
        Stock (per share: &#36;0.54 and &#36;0)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">(55,287,759</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT size=2 face="serif">Decrease in
          Net Investment Assets</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    from
          Distributions</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">(121,963,378</FONT></B> </TD>
    <TD align=left valign="baseline" nowrap><B><FONT size=2 face="serif">)</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">(252,316,940</FONT></B> </TD>
    <TD align=left valign="baseline" nowrap><B><FONT size=2 face="serif">)</FONT></B> </TD>
  </TR>
  <TR>
    <TD colspan=9 nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT color="#8C2633" size=2 face="serif">Capital
          Share Transactions:</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Value of shares
        of Common Stock issued at market price</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      in
        distributions (2,251,538 and 3,531,763 shares)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">39,870,263</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">82,722,788</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Value of shares
        of Common Stock issued for investment</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      plan
        purchases (192,591 and 192,264 shares)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">3,512,303</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">4,512,976</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Cost of shares
        of Common Stock purchased</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    from
        investment plan participants</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    (807,344
        and 1,893,815 shares)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(14,870,325</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(45,006,184</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Cost of shares
        of Common Stock purchased in the</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      open
        market (1,062,061 and 2,351,756 shares)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(19,389,628</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(54,673,126</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Net proceeds
        from issuance of shares of</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      Common Stock
      upon exercise of</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      warrants
        (2,156 and 24,730 shares)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">2,070</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">24,730</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT size=2 face="serif">Increase (Decrease)
          in Net Investment Assets</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    from
          Capital Share Transactions</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">9,124,683</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">(12,418,816</FONT></B> </TD>
    <TD align=left valign="baseline" nowrap><B><FONT size=2 face="serif">)</FONT></B> </TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT size=2 face="serif">Decrease in
          Net Investment Assets</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">(441,459,297</FONT></B> </TD>
    <TD align=left nowrap><B><FONT size=2 face="serif">)</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">(283,780,449</FONT></B> </TD>
    <TD align=left nowrap><B><FONT size=2 face="serif">)</FONT></B> </TD>
  </TR>
  <TR>
    <TD colspan=9 nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT color="#8C2633" size=2 face="serif">Net
          Investment Assets:</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">Beginning of
    period</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">2,411,065,919</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">2,694,846,368</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><B><FONT size=2 face="serif">End of Period </FONT></B><FONT size=2 face="serif">(including
        dividends in excess of</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      net
        investment income of &#36;46,764 and</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="95%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; &#36;39,691,
        respectively)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">&#36;</font></b></TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><B><FONT size=2 face="serif">1,969,606,622</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap style="border-bottom:3px double #000000;"><b><font size=2 face="serif">&#36;</font></b></TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><B><FONT size=2 face="serif">2,411,065,919</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
</TABLE>
<BR>

<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="60%" border="0" cellpadding="0" cellspacing="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">See Notes
    to Financial Statements.</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>
<P align="center">
<I><FONT color="#8C2633" face="serif">19</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Notes to Financial Statements </FONT></B><FONT size=2 face="serif">(unaudited)</FONT></P>
<P align="left">
<B><FONT size=2 face="serif">1. Organization &#151; </FONT></B><FONT size=2 face="serif">Tri-Continental Corporation (the &#147;Corporation&#148;) is registered with the Securities and Exchange Commission (the &#147;SEC&#148;) under the Investment
Company Act of 1940, as amended (the &#147;1940 Act&#148;), as a closed-end diversified management investment company.</FONT></P>
<P align="left">
<B><FONT size=2 face="serif">2. Significant Accounting Policies &#151; </FONT></B><FONT size=2 face="serif">The financial statements of Tri-Continental Corporation have been prepared in conformity with accounting principles generally accepted in the
United States of America, which require management to make certain estimates and assumptions at the date of the financial statements. Actual results may differ from these estimates. These unaudited interim financial statements reflect all
adjustments which are, in the opinion of management, necessary to a fair statement of the results for the interim period presented. All such adjustments are of a normal recurring nature. The following summarizes the significant accounting policies
of the Corporation:</FONT></P>
<table width="100%" border="0" cellspacing="0" cellpadding="0">
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</td>
    <td align="left" valign="top" nowrap><b><font size=2 face="serif">a.&nbsp;&nbsp;&nbsp;</font></b></td>
    <td align="left" valign="top"><p align="left"><b><font size=2 face="serif">Security
            Valuation and Risk </font></b><font size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>Securities
            traded on an exchange are valued at the last sales price on the primary
            exchange or market on which they are traded. Securities not listed
            on an exchange or security market, or securities for which there
            is no last sales price, are valued at the mean of the most recent
            bid and asked prices or are valued by J. &amp; W. Seligman &amp; Co.
            Incorporated (the &#147;Manager&#148;) based on quotations provided
            by primary market makers in such securities. Securities for which
            market quotations are not readily available (or are otherwise no
            longer valid or reliable) are valued at fair value determined in
            accordance with procedures approved by the Board of Directors. This
            can occur in the event of, among other things, natural disasters,
            acts of terrorism, market disruptions, intra-day trading halts, and
            extreme market volatility. The determination of fair value
          involves subjective judgments. As a result, using fair value to price
          a security may result in a price materially different from the prices
          used by other investment companies to determine net asset value or
          the price that may be realized upon the actual sale of the security.
          Short-term holdings maturing in 60 days or less are valued at current
          market quotations or amortized cost if the Manager believes it approximates
          fair value. Short-term holdings that mature in more than 60 days are
          valued at current market quotations until the 60th day prior to maturity
          and are then valued as described above for securities maturing in
      60 days or less.</font></p>
      <p align="left"> <font size=2 face="serif">On January 1, 2008, the Corporation
          adopted Statement of Financial Accounting Standards No. 157 (&#147;SFAS
          157&#148;), &#147;Fair Value Measurements.&#148; SFAS 157 establishes
          a three-tier hierarchy to classify the assumptions, referred to as
          inputs, used in valuation techniques (as described above) to measure
          fair value of the Corporation&#146;s investments. These inputs are
          summarized in three broad levels: Level 1 &#151; quoted prices in active
          markets for identical investments; Level 2 &#151; other significant
          observable inputs (including quoted prices in inactive markets or for
          similar investments); and Level 3 &#151; significant unobservable
          inputs (including the Corporation&#146;s own assumptions in determining
          fair value) (Note 3). The inputs or methodology used for valuing securities
          may not be an indication of the risk associated with investing in those
      securities.</font></p>
      <p align="left"><font size=2 face="serif">To
          the extent that the Corporation invests a substantial percentage of
          its assets in an industry, the Corporation&#146;s performance may be
          negatively affected if that industry falls out of favor. Stocks of
          large-capitalization companies have at times experienced periods of
          volatility and negative performance. During such periods, the value
          of such stocks may decline and the Corporation&#146;s performance
    may be negatively affected.</font></p></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top">&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><b><font size=2 face="serif">b.</font></b></td>
    <td align="left" valign="top"><b><font size=2 face="serif">Equity-Linked Notes </font></b><font size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>The
          Corporation may purchase notes created by a counterparty, typically
          an investment bank. The notes bear interest at a fixed or floating
          rate. At maturity, the notes must be exchanged for an amount based
          on the value of one or more equity securities (&#147;Underlying Stocks&#148;)
          of third party issuers. The exchange value may be limited to an amount
          less than the actual value of the Underlying Stocks at the maturity
          date. Any difference between the exchange amount and the original cost
    of the notes will be a gain or loss.</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top">&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><b><font size=2 face="serif">c.</font></b></td>
    <td align="left" valign="top"><b><font size=2 face="serif">Options </font></b><font size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>The
        Corporation is authorized to write and purchase put and call options.
        When the Corporation writes an option, an amount equal to the premium
    received by the Corporation is reflected as</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>

<P align="center">
<I><FONT color="#8C2633" face="serif">20</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Notes to Financial Statements </FONT></B><FONT size=2 face="serif">(unaudited)</FONT></P>

<table width="100%" border="0" cellspacing="0" cellpadding="0">
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top"><font size=2 face="serif">an asset and an equivalent
        liability. The amount of the liability is subsequently marked to market
        to reflect the current market value of the option written. When a security
        is purchased or sold through an exercise of an option, the related premium
        paid (or received) is added to (or deducted from) the basis of the security
        acquired or deducted from (or added to) the proceeds of the security
        sold. When an option expires (or the Corporation enters into a closing
        transaction), the Corporation realizes a gain or loss on the option to
        the extent of the premiums received or paid (or gain or loss to the extent
        the cost of the closing transaction exceeds the premium paid or received).
        The Corporation, as writer of an option, bears the market risk of an
        unfavorable change in the price of the security underlying the written
    option.</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top">&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><b><font size=2 face="serif">d.&nbsp;&nbsp;&nbsp;</font></b></td>
    <td align="left" valign="top"><b><font size=2 face="serif">Repurchase Agreements </font></b><font size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>The
        Corporation may enter into repurchase agreements. Generally, securities
        received as collateral subject to repurchase agreements are deposited
        with the Corporation&#146;s custodian and, pursuant to the terms of the
        repurchase agreements, must have an aggregate market value greater than
        or equal to the repurchase price plus accrued interest at all times.
        On a daily basis, the market value of repurchase agreements&#146; underlying
        securities are monitored to ensure the existence of the proper level
    of collateral.</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top">&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><b><font size=2 face="serif">e.</font></b></td>
    <td align="left" valign="top"><b><font size=2 face="serif">Restricted Cash </font></b><font size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>Restricted
        cash represents deposits that are being held by banks as collateral for
        letters of credit issued in connection with the Corporation&#146;s insurance
    policies.</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top">&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><b><font size=2 face="serif">f.</font></b></td>
    <td align="left" valign="top"><b><font size=2 face="serif">Security Transactions
          and Related Investment Income </font></b><font size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>Investment
          transactions are recorded on trade dates. Identified cost of investments
          sold is used for both financial statements and federal income tax purposes.
          Dividends receivable are recorded on ex-dividend dates, except that
          certain dividends from foreign securities where the ex-dividend dates
          may have passed are recorded as soon as the Corporation is informed
    of the dividend. Interest income is recorded on an accrual basis.</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top">&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><b><font size=2 face="serif">g.</font></b></td>
    <td align="left" valign="top"><b><font size=2 face="serif">Distributions
          to Stockholders </font></b><font size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>Dividends
          and other distributions to stockholders are recorded on ex-dividend
          date. Effective May 30, 2007, the Corporation has a distribution policy
          providing that the Corporation will distribute quarterly to holders
          of Common Stock a minimum amount per share equal to 2.75% of the net
          asset value attributable to a share of the Common Stock on the last
          business day of the preceding calendar quarter (or approximately 11%
    annually).</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top">&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><b><font size=2 face="serif">h.</font></b></td>
    <td align="left" valign="top"><p align="left"><b><font size=2 face="serif">Taxes </font></b><font size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>There
          is no provision for federal income tax. The Corporation has elected
          to be taxed as a regulated investment company and intends to distribute
          substantially all taxable net income and net realized gain.</font></p>
      <p align="left"> <font size=2 face="serif">Financial Accounting Standards
          Board (&#147;FASB&#148;) Interpretation No. 48 (&#147;FIN 48&#148;), &#147;Accounting
          for Uncertainty in Income Taxes&#151;an interpretation of FASB Statement
          No. 109,&#148; requires the Corporation to measure and recognize in
          its financial statements the benefit of a tax position taken (or expected
          to be taken) on an income tax return if such position will more likely
          than not be sustained upon examination based on the technical merits
          of the position. Based upon its review of tax positions, the Corporation
          has determined that FIN 48 did not have a material impact on the Corporation&#146;s
    financial statements for the six months ended June 30, 2008.</font></p></td>
  </tr>
</table>

<P align="left">
<B><FONT size=2 face="serif">3. Fair Value Measurements </FONT></B><FONT size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>A summary of the value of the Corporation&#146;s investments as of June 30, 2008, based on the level of inputs used in accordance with SFAS 157 (Note 2a),
is as follows:</FONT></P>
<TABLE width=70% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=29%></TD>
     <TD width=63%></TD>
     <TD width=8%></TD></TR>
<TR valign="bottom">
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">Valuation Inputs</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">Value</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Level 1 &#150; Quoted Prices</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#36;1,791,868,760</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Level 2 &#150; Other Significant Observable Inputs</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">182,595,527</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Level 3 &#150; Significant Unobservable Inputs</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">2,192,377</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">Total</FONT></TD>
  <TD align=right>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<FONT size=2 face="serif">&#36;1,976,656,664</FONT></TD>
</TR>
</TABLE>
<BR>
<P align="center">
<I><FONT color="#8C2633" face="serif">21</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Notes to Financial Statements </FONT></B><FONT size=2 face="serif">(unaudited)</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">As required by SFAS 157, the following is a reconciliation of investments for which significant unobservable inputs (Level 3) were used to determine the fair value of investments classified as
Level 3 at either the beginning or end of the period:</FONT></P>
<TABLE width=70% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=90%></TD>
     <TD width=4%></TD>
     <TD width=0%></TD>
     <TD width=6%></TD></TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Balances as of December
31, 2007</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">1,784,956</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Net change in unrealized depreciation</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">407,421</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Balance as of June 30, 2008</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;"><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<FONT size=2 face="serif">2,192,377</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Net change in unrealized depreciation from investments</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="90%" align=left>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; still held as of June 30, 2008</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;"><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<FONT size=2 face="serif">407,421</FONT></TD>
</TR>
</TABLE>
<BR>
<P align="left">
<B><FONT size=2 face="serif">4. Capital Stock Transactions </FONT></B><FONT size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>Under the Corporation&#146;s Charter, dividends on Common Stock cannot be declared unless net assets, after
such dividends and dividends on Preferred Stock, equal at least &#36;100 per share of Preferred Stock outstanding. The Preferred Stock is subject to redemption at the Corporation&#146;s option at any time on 30 days&#146; notice at &#36;55 per share (or a total of &#36;41,400,700 for the
shares outstanding) plus accrued dividends, and entitled in liquidation to &#36;50 per share plus accrued dividends.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">The Corporation, in connection with its Automatic Dividend Investment and Cash Purchase Plan and other Stockholder plans, acquires and issues shares of its own Common Stock, as needed, to
satisfy Plan requirements. For the six months ended June 30, 2008, the Corporation purchased 807,344 shares of Common Stock from Plan participants at a cost of &#36;14,870,325, which represented a weighted average discount of 9.0% from the net asset
value of those acquired shares. A total of 192,591 shares were issued to Plan participants during the period for proceeds of &#36;3,512,303, an average discount of 10.1% from the net asset value of those shares. In addition, a total of 2,251,538
shares were issued at market price in distributions during the period for proceeds of &#36;39,870,263, an average discount of 9.2% from the net asset value of those shares.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">For the six months ended June 30, 2008, the Corporation purchased 1,062,061 shares of its Common Stock in the open market at an aggregate cost of &#36;19,389,628, which represented a weighted
average discount of 10.0% from the net asset value of those acquired shares. Shares of Common Stock repurchased to satisfy Plan requirements or in the open market are retired and no longer outstanding.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">At June 30, 2008, the Corporation reserved 257,946 shares of Common Stock for issuance upon exercise of 10,893 Warrants, each of which entitled the holder to purchase 23.68 shares of Common
Stock at &#36;0.95 per share.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">Assuming the exercise of all Warrants outstanding at June 30, 2008, net investment assets would have increased by &#36;245,049 and the net asset value of the Common Stock would have been
&#36;18.60 per share. The number of Warrants exercised during the six months ended June 30, 2008 and the year ended December 31, 2007 was 92 and 1,068, respectively.</FONT></P>
<P align="left">
<B><FONT size=2 face="serif">5. Management Fee, Administrative Services, and Other Transactions </FONT></B><FONT size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>The Manager manages the affairs of the Corporation and provides for the necessary personnel and facilities.
Compensation of all officers of the Corporation, all directors of the Corporation who are employees of the Manager, and all personnel of the Corporation and the Manager is paid by the Manager. The Manager receives a fee, calculated daily and payable
monthly, equal to a percentage of the Corporation&#146;s daily net assets at the close of business on the previous business day. The management fee rate is calculated on a sliding scale of 0.45% to 0.375%, based on average daily net assets of all
the investment companies managed by the Manager. The management fee for the six months ended June 30, 2008 was equivalent to an average annual rate of 0.42% of the average daily net assets of the Corporation. (Note 12)</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">For the six months ended June 30, 2008, Seligman Data Corp., which is owned by the Corporation and certain associated investment companies, charged the Corporation at cost &#36;1,687,282 for
stockholder account services in accordance with a methodology approved by the Corporation&#146;s directors. Costs of Seligman Data Corp. directly attributable to the Corporation were charged to the Corporation. The remaining charges were allocated
to the Corporation by Seligman Data Corp. pursuant to a formula based on the Corporation&#146;s net assets, stockholder transaction volume and number of stockholder accounts. The Corporation&#146;s investment in Seligman Data Corp. is recorded at a
cost of &#36;43,681.</FONT></P>
<P align="center">
<I><FONT color="#8C2633" face="serif">22</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Notes to Financial Statements </FONT></B><FONT size=2 face="serif">(unaudited)</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">The Corporation and certain other associated investment companies (together, the &#147;Guarantors&#148;) have severally but not jointly guaranteed the performance and observance of all the
terms and conditions of two leases entered into by Seligman Data Corp., including the payment of rent by Seligman Data Corp. (the &#147;Guaranties&#148;). The leases and the related Guaranties expire in September 2008 and January 2019, respectively.
The obligation of the Corporation to pay any amount due under the Guaranties is limited to a specified percentage of the full amount, which generally is based on the Corporation&#146;s percentage of the expenses billed by Seligman Data Corp. to all
Guarantors in the most recent calendar quarter. At June 30, 2008, the Corporation&#146;s potential obligation under the Guaranties is &#36;1,530,400. As of June 30, 2008, no event has occurred which would result in the Corporation becoming liable to
make any payment under the Guaranties. A portion of the rent paid by Seligman Data Corp. is charged to the Corporation as part of Seligman Data Corp.&#146;s stockholder account services cost.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">Certain officers and directors of the Corporation are officers or directors of the Manager and/or Seligman Data Corp.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">The Corporation has a compensation arrangement under which directors who receive fees may elect to defer receiving such fees. Directors may elect to have their deferred fees accrue interest or
earn a return based on the performance of the Corporation or other funds in the Seligman Group of Investment Companies. The cost of such fees and earnings/loss accrued thereon is included in directors&#146; fees and and expenses and the accumulated
balance thereof at June 30, 2008, of &#36;46,764 is included in accrued expenses and other liabilities. Deferred fees and related accrued earnings are not deductible by the Corporation for federal income tax purposes until such amounts are
paid.</FONT></P>
<P align="left">
<B><FONT size=2 face="serif">6. Purchases and Sales of Securities </FONT></B><FONT size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>Purchases and sales of portfolio securities, excluding US Government obligations
and short-term investments, for the six months ended June 30, 2008, amounted to &#36;1,073,312,554 and &#36;1,228,320,898, respectively.</FONT></P>
<P align="left">
<B><FONT size=2 face="serif">7. Federal Tax Information </FONT></B><FONT size=2 face="serif"><b><font size=2 face="serif">&#151; </font></b>Certain components of income, expense and realized capital gain and loss are recognized at different times or have a different character for federal income
tax purposes and for financial reporting purposes. Where such differences are permanent in nature, they are reclassified in the components of net assets based on their characterization for federal income tax purposes. Any such reclassifications will
have no effect on net assets, results of operations or net asset value per share of the Corporation. As a result of the differences described above, the treatment for financial reporting purposes of distributions made during the year from net
investment income or net realized gains may differ from their ultimate treatment for federal income tax purposes. Further, the cost of investments also can differ for federal income tax purposes.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">The tax basis information presented is based on operating results for the six months ended June 30, 2008, and will vary from the final tax information as of the Corporation&#146;s year
end.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">At June 30, 2008, the cost of investments for federal income tax purposes was &#36;2,386,554,726. The tax basis cost was greater than the cost for financial reporting purposes primarily due to
the tax deferral of losses on wash sales in the amount of &#36;15,713,704, offset in part by tax losses passed through to the Corporation from its limited partnership investment of &#36;3,096,642.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">The tax basis components of accumulated losses at June 30, 2008 are presented below:</FONT></P>
<TABLE width=70% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=75%></TD>
     <TD width=17%></TD>
     <TD width=1%></TD>
     <TD width=7%></TD>
     <TD width=0%></TD></TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Gross unrealized appreciation of portfolio securities</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">106,357,628</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Gross unrealized depreciation of portfolio securities</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">(516,255,690</FONT></TD>
  <TD align=left valign="baseline" nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Net unrealized depreciation of portfolio securities</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(409,898,062</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Accumulated net realized loss</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">(144,581,891</FONT></TD>
  <TD align=left valign="baseline" nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Total accumulated losses</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=left nowrap style="border-bottom:3px double #000000;"><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<FONT size=2 face="serif">(554,479,953</FONT></TD>
  <TD align=left valign="middle" nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
</TABLE>
<BR>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">For the six months ended June 30, 2008, the tax characterization of distributions to stockholders was &#36;54,124,386 for Ordinary Income, &#36;20,224,273 for Long-Term Capital Gain, and
&#36;47,614,719 for Return of Capital. For the year ended December 31, 2007, the tax characterization of distributions to stockholders was &#36;207,070,515 for
Ordinary Income and $45,246,425 for Long-Term Capital Gain.</FONT></P>
<P align="center">
<I><FONT color="#8C2633" face="serif">23</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Notes to Financial Statements </FONT></B><FONT size=2 face="serif">(unaudited)</FONT></P>
<P align="left">
<B><FONT size=2 face="serif">8. Restricted Securities </FONT></B><FONT size=2 face="serif"><B><FONT size=2 face="serif">&#151; </FONT></B>At June 30, 2008, the Corporation owned one investment that was purchased through a private offering and cannot be sold without prior registration under the
Securities Act of 1933 or pursuant to an exemption therefrom. The investment is valued at fair value as determined in accordance with procedures approved by the Board of Directors of the Corporation.</FONT></P>
<TABLE border=0 width=100% cellspacing=0 cellpadding=0>
<TR>
     <TD colspan="2"></TD>
     <TD width=13%></TD>
     <TD width=20%></TD>
     <TD width=7%></TD>
     <TD width=13%></TD>
     <TD width=7%></TD>
     <TD width=13%></TD></TR>
<TR valign="bottom">
  <TD width="17%" align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">Investment</FONT></TD>
  <TD width="10%" align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">Acquisition Dates</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">Cost</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">Value</FONT></TD>
</TR>
<TR valign="bottom">
  <TD colspan="2" align=left nowrap>
<FONT size=2 face="serif">WCAS Capital Partners II, L.P.</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">12/11/90 to 3/24/98</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">&#36;4,292,803</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">&#36;2,192,377</FONT></TD>
</TR>
</TABLE>
<BR>
<P align="left">
<B><FONT size=2 face="serif">9. Options Written &#151; </FONT></B><FONT size=2 face="serif">Transactions in options written during the six months ended June 30, 2008 were as follows:</FONT></P>
<TABLE width=90% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=85%></TD>
     <TD width=5%></TD>
     <TD width=6%></TD>
     <TD width=0%></TD>
     <TD width=4%></TD>
     <TD width=0%></TD></TR>
<TR valign="bottom">
  <TD width="85%" align=left nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">Shares</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="85%" align=left nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">Subject</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="85%" align=left nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">to Call/Put</FONT></TD>
  <TD align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">Premium</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="85%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Options outstanding at December 31, 2007</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="85%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Options written</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">737,000</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">726,555</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width="85%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Options expired</FONT></TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(689,100</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right nowrap>&nbsp;</TD>
  <TD align=right nowrap>
<FONT size=2 face="serif">(593,395</FONT></TD>
  <TD align=left nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="85%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Options exercised</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">(47,900</FONT></TD>
  <TD align=left valign="baseline" nowrap>
<FONT size=2 face="serif">)</FONT></TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">(133,160</FONT></TD>
  <TD align=left valign="baseline" nowrap>
<FONT size=2 face="serif">)</FONT></TD>
</TR>
<TR valign="bottom">
  <TD width="85%" align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Options outstanding at June 30, 2008</FONT></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;"><font size=2 face="serif">&#36;</font></TD>
  <TD align=right nowrap style="border-bottom:3px double #000000;">
<FONT size=2 face="serif">&#151;</FONT></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
</TABLE>
<BR>
<P align="left">
<B><FONT size=2 face="serif">10. Other Matters &#151; </FONT></B><FONT size=2 face="serif">In late 2003, the Manager conducted an extensive internal review concerning mutual fund trading practices. The Manager&#146;s review, which covered the
period 2001-2003, noted one arrange ment that permitted frequent trading in certain open-end registered investment companies managed by the Manager (the &#147;Seligman Funds&#148;); this arrangement was in the process of being closed down by the Manager before
September 2003. The Manager identified three other arrangements that permitted frequent trading, all of which had been terminated by September 2002. In January 2004, the Manager, on a voluntary basis, publicly disclosed these four arrangements to
its clients and to shareholders of the Seligman Funds. The Manager also provided information concerning mutual fund trading practices to the SEC and the Office of the Attorney General of the State of New York (&#147;NYAG&#148;).</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">In September 2005, the New York staff of the SEC indicated that it was considering recommending to the Commissioners of the SEC the instituting of a formal action against the Manager and
Seligman Advisors, Inc., the distributor of the Seligman Funds, relating to frequent trading in the Seligman Funds. The Manager responded to the staff in October 2005 that it believed that any action would be
both inappropriate and unnecessary, especially in light of the fact that the Manager had previously resolved the underlying issue with the Independent Directors of the Seligman Funds and made recompense to the affected Seligman Funds.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">In September 2006, the NYAG commenced a civil action in New York State Supreme Court against the Manager, Seligman Advisors, Inc., Seligman Data Corp. and Brian T. Zino (collectively, the
&#147;Seligman Parties&#148;), alleging, in substance, that, in addition to the four arrangements noted above, the Seligman Parties permitted other persons to engage in frequent trading and, as a result, the prospectus disclosure used by the
registered investment companies managed by the Manager is and has been misleading. The NYAG included other related claims and also claimed that the fees charged by the Manager to the Seligman Funds were excessive. The NYAG is seeking damages of at
least &#36;80 million and restitution, disgorgement, penalties and costs and injunctive relief. The Seligman Parties answered the complaint in December 2006 and believe that the claims are without merit.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">Any resolution of these matters may include the relief noted above or other sanctions or changes in procedures. Any damages would be paid by the Manager and not by the Seligman Funds. If the
NYAG obtains injunctive relief, the Manager and its affiliates could, in the absence of the SEC in its discretion granting exemptive relief, be enjoined from providing advisory and underwriting services to the Seligman Funds and other registered
investment companies.</FONT></P>
<P align="center">
<I><FONT color="#8C2633" face="serif">24</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Notes to Financial Statements </FONT></B><FONT size=2 face="serif">(unaudited)</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">The Manager does not believe that the foregoing legal action or other possible actions will have a material adverse impact on the Manager or its clients, including the Seligman Funds and other
investment companies managed by it; however, there can be no assurance of this or that these matters and any related publicity will not affect demand for shares of the Seligman Funds and such other investment companies or have other adverse
consequences.</FONT></P>
<P align="left">
<B><FONT size=2 face="serif">11. Recently Issued Accounting Pronouncement </FONT></B><FONT size=2 face="serif"><B><FONT size=2 face="serif">&#151; </FONT></B>In March 2008, the Financial Accounting Standards Board issued Statement of Financial Accounting Standards No. 161 (&#147;SFAS 161&#148;),
&#147;Disclosures about Derivative Instruments and Hedging Activities.&#148; SFAS 161 requires enhanced disclosures about the Corporation&#146;s derivative and hedging activities, including how such activities are accounted for and their effect on
the Corporation&#146;s financial position, performance and cash flows. SFAS 161 is effective for fiscal years beginning after November 15, 2008. The Corporation is currently evaluating the impact of the adoption of SFAS 161 on the
Corporation&#146;s financial statements and related disclosures.</FONT></P>
<P align="left">
<B><FONT size=2 face="serif">12. Subsequent Events </FONT></B><FONT size=2 face="serif">&#151; On July 7, 2008, Ameriprise Financial, Inc. (&#147;Ameriprise&#148;) announced an agreement to acquire the Manager in a transaction that is likely to
close in the fourth quarter of 2008. Under the 1940 Act, consummation of Ameriprise&#146;s acquisition of the Manager will result in the Manager becoming a wholly-owned subsidiary of RiverSource Investments, LLC (&#147;RiverSource&#148;), a
subsidiary of Ameriprise, and a change of control of the Manager and an assignment and automatic termination of the Corporation&#146;s management agreement with the Manager. On July 17, 2008, the Corporation&#146;s Board approved a new advisory
agreement (the &#147;New Agreement&#148;) with RiverSource, and a new administration agreement with Ameriprise. The New Agreement will be presented to the Corporation&#146;s stockholders for their approval at a special meeting (the
&#147;Meeting&#148;) scheduled for October 7, 2008.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">On August 19, 2008, the Corporation announced that it had entered into an agreement with a stockholder group (the &#147;Group&#148;), whereby the members of the Group have agreed to cast their
votes at the Meeting in accordance with the recommendations of the Corporation&#146;s Board. Pursuant to the agreement, if stockholders approve the New Agreement and the acquisition of the Manager is completed, the Corporation will promptly commence
an in-kind tender offer for 35% of its outstanding shares of common stock. The purchase price in the in-kind tender offer will be 99.25% of the net asset value per share at the close of business on the trading day following the expiration of the
offer and will be payable by means of a distribution of a portion of the Corporation&#146;s investment portfolio, including distributable securities and cash, in such a manner that each stockholder whose shares are purchased will receive assets
representing as closely as reasonably practicable a pro rata share of the Corporation&#146;s investment portfolio.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">The Corporation has also agreed to commence, promptly upon completion and settlement of the in-kind tender offer, a cash tender offer for 12.5% of its outstanding shares of common stock. The
purchase price in the cash tender offer will be 99.25% of the net asset value per share at the close of business on the trading day following the expiration of the cash tender offer. The Corporation will not be obligated to commence the cash tender
offer if the volume-weighted average price of the Corporation&#146;s common stock during the five trading days preceding the expiration of the in-kind tender offer is 99.25% or more of the average of the common stock&#146;s daily net asset value per
share during that period.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">The agreement with the Group also provides that the Corporation will continue its current distribution policy and open-market repurchase policy until at least December 31, 2008. The
Corporation&#146;s obligation to commence each tender offer is subject to customary conditions.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">In addition to their agreement to support the recommendations of the Corporation&#146;s Board at the Meeting, the members of the Group have each agreed to refrain from taking certain actions in
respect of the Corporation that might affect control or management of the Corporation. The members of the Group and the Corporation have also agreed to general releases of each other.</FONT></P>
<P align="center">
<I><FONT color="#8C2633" face="serif">25</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Financial Highlights </FONT></B><FONT size=2 face="serif">(unaudited)</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">The Corporation&#146;s financial highlights are presented below. Per share operating performance data is designed to allow investors to trace the operating performance, on a per Common share
basis, from the beginning net asset value to the ending net asset value, so that investors can understand what effect the individual items have on their investment, assuming it was held throughout the period. Generally, the per share amounts are
derived by converting the actual dollar amounts incurred for each item, as disclosed in the financial statements, to their equivalent per Common share amounts, using average shares outstanding during the period.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">Total investment return measures the Corporation&#146;s performance assuming that investors purchased shares of the Corporation at the market value or net asset value as of the beginning of the
period, invested dividends and capital gains paid, as provided for in the Corporation&#146;s Prospectus and Automatic Dividend Investment and Cash Purchase Plan, and then sold their shares at the closing market value or net asset value per share on
the last day of the period. The computations do not reflect any sales charges or transaction costs on your investment or taxes investors may incur on distributions or on the sale of shares of the Corporation, and are not annualized for periods of
less than one year.</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">The ratios of expenses and net investment income to average net investment assets and to average net assets for Common Stock for the periods presented do not reflect the effect of dividends
paid to Preferred Stockholders.</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
  <TR>
    <TD width=90%></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap>&nbsp;</TD>
    <TD colspan="3" align=center nowrap><FONT size=1 face="serif">Six Months</FONT></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=left nowrap><font size="1">&nbsp;</font></TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap>&nbsp;</TD>
    <TD colspan="3" align=center nowrap><FONT size=1 face="serif">Ended</FONT></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD colspan="14" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">Year
    Ended December 31,</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap>&nbsp;</TD>
    <TD colspan="3" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">June
    30, 2008</FONT></TD>
    <TD align=center nowrap><font size="1">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">2007</FONT></TD>
    <TD align=center nowrap><font size="1">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">2006</FONT></TD>
    <TD align=center nowrap><font size="1">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">2005</FONT></TD>
    <TD align=center nowrap><font size="1">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">2004</FONT></TD>
    <TD align=center nowrap><font size="1">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">2003</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><B><FONT color="#8C2633" size=2 face="serif">Per Share Operating
          Performance:</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><B><FONT size=2 face="serif">Net Asset Value,</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><B><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    Beginning of Period</FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> &nbsp;&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">&#36;23.03</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">&#36;25.66</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">&#36;22.16</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">&#36;21.87</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">&#36;19.55</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">&#36;15.72</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><FONT size=2 face="serif">Net investment income</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.33</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.84</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.33</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.26</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.26</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.18</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><FONT size=2 face="serif">Net realized and unrealized</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=center nowrap><div align="left"><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;investment gain (loss)</FONT></div></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">(3.55</FONT></TD>
    <TD align=left valign="baseline" nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">(1.01</FONT></TD>
    <TD align=left valign="baseline" nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">3.47</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">0.29</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">2.31</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">3.84</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><B><FONT size=2 face="serif">Increase (Decrease) from</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=center nowrap><div align="left"><B><FONT size=2 face="serif">&nbsp;&nbsp;Investment Operations</FONT></B> </div></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">(3.22</FONT></B> </TD>
    <TD align=left nowrap><B><FONT size=2 face="serif">)</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">(0.17</FONT></B> </TD>
    <TD align=left nowrap><B><FONT size=2 face="serif">)</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">3.80</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">0.55</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">2.57</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">4.02</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><FONT size=2 face="serif">Dividends paid on Preferred Stock</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.01</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.02</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.02</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.02</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.02</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.02</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><FONT size=2 face="serif">Dividends paid on Common Stock</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.32</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.87</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.28</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.24</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.23</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.17</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><FONT size=2 face="serif">Distributions from net realized
        gain</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.31</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(1.57</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><FONT size=2 face="serif">Return of capital</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.54</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">)</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><FONT size=2 face="serif">Issuance of Common Stock in</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    gain distributions</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">0.02</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">&#151;</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><B><FONT size=2 face="serif">Net Increase (Decrease) in</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><B><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    Net Asset Value</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">(4.38</FONT></B> </TD>
    <TD align=left valign="baseline" nowrap><B><FONT size=2 face="serif">)</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">(2.63</FONT></B> </TD>
    <TD align=left valign="baseline" nowrap><B><FONT size=2 face="serif">)</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">3.50</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">0.29</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">2.32</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><B><FONT size=2 face="serif">3.83</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR>
    <TD colspan=19 nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><B><FONT size=2 face="serif">Net Asset Value, End of Period</FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><B><FONT size=2 face="serif">&#36;18.65</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><B><FONT size=2 face="serif">&#36;23.03</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><B><FONT size=2 face="serif">&#36;25.66</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><B><FONT size=2 face="serif">&#36;22.16</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><B><FONT size=2 face="serif">&#36;21.87</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><B><FONT size=2 face="serif">&#36;19.55</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><B><FONT size=2 face="serif">Adjusted Net Asset Value,</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><B><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    End of Period</FONT></B><B><FONT size=2 face="serif">*</FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;18.60</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;22.98</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;25.60</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;22.10</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;21.82</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;19.51</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="90%" align=left nowrap><B><FONT size=2 face="serif">Market Value, End of Period</FONT></B><FONT size=2 face="serif">.</FONT></TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;16.54</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;20.90</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;22.38</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;18.58</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;18.28</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><B><FONT size=2 face="serif"></FONT></B> </TD>
    <TD align=right nowrap><B><FONT size=2 face="serif">&#36;16.40</FONT></B> </TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
</TABLE>
<BR>

<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="60%" border="0" cellpadding="0" cellspacing="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">See footnotes
    on page 27.</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>
<P align="center">
<I><FONT color="#8C2633" face="serif">26</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE>
<font color="#8C2633"><br>
</font>
<P align="left">
  <font color="#8C2633"><I><FONT size=6 face="serif">Tri-Continental Corporation</FONT></I></font></P>
<P align="left">
<B><FONT face="serif">Financial Highlights </FONT></B><FONT size=2 face="serif">(unaudited) (continued)</FONT></P>
<TABLE width=100% border=0 cellpadding=0 cellspacing=0>
  <TR>
    <TD width=40%></TD>
    <TD></TD>
    <TD></TD>
    <TD></TD>
    <TD width="4%"></TD>
    <TD></TD>
    <TD align="left"></TD>
    <TD width="4%"></TD>
    <TD></TD>
    <TD></TD>
    <TD width="4%"></TD>
    <TD></TD>
    <TD></TD>
    <TD width="4%"></TD>
    <TD></TD>
    <TD></TD>
    <TD width="4%"></TD>
    <TD></TD>
    <TD></TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD colspan="2" align=center nowrap><FONT size=1 face="serif">Six Months</FONT><font size="1">&nbsp;</font></TD>
    <TD width="4%" align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=left nowrap><font size="1">&nbsp;</font></TD>
    <TD width="4%" align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD width="4%" align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD width="4%" align=center nowrap>&nbsp;</TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD width="4%" align=center nowrap>&nbsp;</TD>
    <TD align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD align=center nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD colspan="2" align=center nowrap><FONT size=1 face="serif">Ended</FONT><font size="1">&nbsp;</font></TD>
    <TD width="4%" align=center nowrap><font size="1">&nbsp;</font></TD>
    <TD colspan="14" align=center nowrap style="border-bottom:1px solid #000000;"><font size="1">&nbsp;</font><font size="1">&nbsp;</font><font size="1">&nbsp;</font><FONT size=1 face="serif">Year
    Ended December 31,</FONT><font size="1">&nbsp;</font><font size="1">&nbsp;</font></TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD colspan=2 align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">June
        30, 2008 </FONT></TD>
    <TD width="4%" align=right nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">2007</FONT><font size="1">&nbsp;</font></TD>
    <TD width="4%" align=center nowrap><font size="1">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">2006</FONT><font size="1">&nbsp;</font></TD>
    <TD width="4%" align=center nowrap><font size="1">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">2005</FONT><font size="1">&nbsp;</font></TD>
    <TD width="4%" align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">2004</FONT><font size="1">&nbsp;</font></TD>
    <TD width="4%" align=center nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
    <TD colspan="2" align=center nowrap style="border-bottom:1px solid #000000;"><FONT size=1 face="serif">2003</FONT></TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><B><FONT color="#8C2633" size=2 face="serif">Total Investment
          Return:</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">Based upon market value</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(15.53)%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">3.51%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">22.10%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">2.98%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">12.95%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">25.24%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">Based upon net asset value</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(13.57)%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">(0.52)% </FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><font size=2 face="serif">17.38%</font></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">2.66%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">13.36%</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">#</FONT></TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">25.84%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><B><FONT color="#8C2633" size=2 face="serif">Ratios/Supplemental
          Data:</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">Expenses to average net</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    investment
        assets</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.67%</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">&#134;</FONT></TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.65%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.79%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.64%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.65%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.68%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">Expenses to average net assets for</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    Common Stock</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.68%</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">&#134;</FONT></TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.66%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.80%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.65%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.66%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">0.70%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">Net investment income to average</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    net investment assets</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">3.19%</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">&#134;</FONT></TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">3.17%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">1.37%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">1.18%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">1.26%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">1.03%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">Net investment income to average</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;    net assets for Common Stock</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">3.25%</FONT></TD>
    <TD align=left nowrap><FONT size=2 face="serif">&#134;</FONT></TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">3.22%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">1.40%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">1.20%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">1.28%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">1.05%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">Portfolio turnover rate</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">53.81%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">123.02%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">121.81%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">70.77%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">47.36%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">138.65%</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><B><FONT size=2 face="serif">Net Investment Assets,</FONT></B> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><B><FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;      End of Period </FONT></B><FONT size=2 face="serif">(000s
        omitted):</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">For Common Stock</FONT></TD>
    <TD align=right nowrap><FONT size=2 face="serif"></FONT></TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#36;1,931,970</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap><FONT size=2 face="serif"></FONT></TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#36;2,373,429</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap><FONT size=2 face="serif"></FONT></TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#36;2,657,209</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><FONT size=2 face="serif">&#36;2,392,304</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><font size=2 face="serif">&#36;2,470,781</font></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap><font size=2 face="serif">&#36;2,310,999</font></TD>
    <TD align=left nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><FONT size=2 face="serif">For Preferred Stock</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">37,637</FONT> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">37,637</FONT> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">37,637</FONT> </TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">37,637</FONT> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">37,637</FONT> </TD>
    <TD align=right nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:1px solid #000000;"><FONT size=2 face="serif">37,637</FONT></TD>
    <TD align=right nowrap>&nbsp;</TD>
  </TR>
  <TR valign="bottom">
    <TD width="40%" align=left nowrap><B><FONT size=2 face="serif">Total Net Investment Assets</FONT></B> </TD>
    <TD align=right nowrap><FONT size=2 face="serif"></FONT></TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><FONT size=2 face="serif">&#36;1,969,607</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap><FONT size=2 face="serif"></FONT></TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><FONT size=2 face="serif">&#36;2,411,066</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap><FONT size=2 face="serif"></FONT></TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><FONT size=2 face="serif">&#36;2,694,846</FONT></TD>
    <TD align=left nowrap>&nbsp;</TD>
    <TD width="4%" align=right nowrap>&nbsp;</TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><FONT size=2 face="serif">&#36;2,429,941</FONT></TD>
    <TD align=right nowrap><FONT size=2 face="serif"></FONT></TD>
    <TD width="4%" align=right nowrap><FONT size=2 face="serif"></FONT></TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><font size=2 face="serif">&#36;2,508,418</font></TD>
    <TD align=right nowrap><FONT size=2 face="serif"></FONT></TD>
    <TD width="4%" align=right nowrap><FONT size=2 face="serif"></FONT></TD>
    <TD align=right nowrap style="border-bottom:3px double #000000;"><font size=2 face="serif">&#36;2,348,636</font></TD>
    <TD align=right nowrap><FONT size=2 face="serif"></FONT></TD>
  </TR>
</TABLE>
<BR>

<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="100%" border="0" cellspacing="0" cellpadding="0">
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">*&nbsp;&nbsp;</font></td>
    <td align="left" valign="top"><font size=1 face="serif">Assumes the exercise
    of outstanding warrants.</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif">&#134; </font></td>
    <td align="left" valign="top"><font size=1 face="serif">Annualized</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap><font size=1 face="serif"># </font></td>
    <td align="left" valign="top"><font size=1 face="serif">Excluding the effect
        of the payments received from the Manager in 2004, the total investment
    return would have been 13.33% .</font></td>
  </tr>
  <tr>
    <td colspan="2" align="left" valign="top" nowrap><font size=1 face="serif">See
    Notes to Financial Statements.</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>
<P align="left">&nbsp;</P>
<P align="center">
<I><FONT color="#8C2633" face="serif">27</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Proxy Results</FONT></B></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">Tri-Continental Corporation Stockholders voted on the following proposals at the Annual Meeting of Stockholders on May 15, 2008, in Baltimore, MD. The description of each proposal and number of
shares voted are as follows:</FONT></P>
<P align="left">
<FONT size=2 face="serif"> To elect four Directors each to hold
    office until the 2011 Annual Meeting of Stockholders:</FONT></P>
<TABLE width=50% border=0 cellpadding=0 cellspacing=0>
<TR>
     <TD width=72%></TD>
     <TD width=9%></TD>
     <TD width=10%></TD>
     <TD width=9%></TD></TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">For</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">Withheld</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Maureen Fonseca</FONT></TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">83,360,041</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">8,271,422</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Betsy S. Michel</FONT></TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">83,224,241</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">8,407,223</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; James N. Whitson</FONT></TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">83,442,595</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">8,188,869</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>
<FONT size=2 face="serif">&nbsp;&nbsp;&nbsp;&nbsp;&nbsp; Brian T. Zino</FONT></TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">83,496,072</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">8,135,391</FONT></TD>
</TR>
</TABLE>
<BR>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">To consider a proposal to ratify the selection of Deloitte &amp; Touche </FONT><FONT size=1 face="serif">LLP </FONT><FONT size=2 face="serif">as auditors of the Corporation for 2008:</FONT></P>
<TABLE width=50% border=0 align="center" cellpadding=0 cellspacing=0>
<TR>
  <TD width=25%></TD>
     <TD width=13%></TD>
     <TD width=24%></TD>
     <TD width=13%></TD>
     <TD width=25%></TD></TR>
<TR valign="bottom">
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">For</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">Against</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap style="border-bottom:1px solid #000000;">
<FONT size=2 face="serif">Abstained</FONT></TD>
</TR>
<TR valign="bottom">
  <TD align=center nowrap>
<FONT size=2 face="serif">89,212,718</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">1,398,926</FONT></TD>
  <TD align=center nowrap>&nbsp;</TD>
  <TD align=center nowrap>
<FONT size=2 face="serif">1,019,809</FONT></TD>
</TR>
</TABLE>
<BR>
<P align="center">&nbsp;</P>
<P align="center">&nbsp;</P>
<P align="center"><I><FONT color="#8C2633" face="serif">28</FONT></I></P>
<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
 <p align="left"><b><font face="serif">Board of Directors</font></b></P>
<div style="position:relative;float:left;width:48%">
  <p align="left">
      <b><font size=2 face="serif">Maureen Fonseca </font></b><sup><font size=2 face="serif">(2,3)</font></sup><br>
      <i><font size=2 face="serif">Head of School, </font></i><font size=2 face="serif">The
      Masters School</font><br>
      <i><font size=2 face="serif">Trustee, </font></i><font size=2 face="serif">New
      York State Association of</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Independent Schools and Greens</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Farms Academy</font><br>
      <i><font size=2 face="serif">Commissioner, </font></i><font size=2 face="serif">Middle
      States Association</font><br>
      <br>
      <b><font size=2 face="serif">John R. Galvin </font></b><sup><font size=2 face="serif">(1,3)</font></sup><br>
      <i><font size=2 face="serif">Dean Emeritus, </font></i><font size=2 face="serif">Fletcher
      School of Law</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;and Diplomacy at Tufts University</font><br>
      <i><font size=2 face="serif">Chairman Emeritus, </font></i><font size=2 face="serif">American
      Council</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;on Germany</font><br>
      <br>
      <b><font size=2 face="serif">John F. Maher </font></b><sup><font size=2 face="serif">(1,3)</font></sup><br>
      <i><font size=2 face="serif">Retired President, Chief Executive Officer,</font></i><br>
      <i><font size=2 face="serif">&nbsp;&nbsp;&nbsp;and Former Director, </font></i><font size=2 face="serif">Great
      Western Financial</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Corporation and its principal
      subsidiary,</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Great Western Bank</font><br>
      <br>
      <b><font size=2 face="serif">Frank A. McPherson </font></b><sup><font size=2 face="serif">(2,3)</font></sup><br>
      <i><font size=2 face="serif">Retired Chairman of the Board and Chief Executive</font></i><br>
      <i><font size=2 face="serif">&nbsp;&nbsp;&nbsp;Officer</font></i><font size=2 face="serif">, Kerr-McGee Corporation</font><br>
      <i><font size=2 face="serif">Director, </font></i><font size=2 face="serif">DCP
      Midstream GP, LLP, Integris</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Health, Oklahoma Medical Research
      Foundation,</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Oklahoma Foundation for Excellence
      in</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Education, National Cowboy
      and Western</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Heritage Museum, and Oklahoma
      City</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Museum of Art</font><br>
      <br>
      <b><font size=2 face="serif">Betsy S. Michel </font></b><sup><font size=2 face="serif">(2,3)</font></sup><br>
      <i><font size=2 face="serif">Attorney</font></i><br>
      <i><font size=2 face="serif">Trustee, </font></i><font size=2 face="serif">The
      Geraldine R. Dodge Foundation</font><br>
  <font size=2 face="serif">&nbsp;&nbsp;&nbsp;and Drew University</font></p>

</div>

<div style="position:relative;float:right;width:48%">
  <p align="left"><b><font size=2 face="serif">William C. Morris</font></b><br>
      <i><font size=2 face="serif">Chairman and Director, </font></i><font size=2 face="serif">J. &amp; W.
      Seligman &amp; Co.</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Incorporated, Carbo Ceramics
      Inc., Seligman</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Advisors, Inc., and Seligman
      Services, Inc.</font><br>
      <i><font size=2 face="serif">Director, </font></i><font size=2 face="serif">Seligman
      Data Corp.</font><br>
      <i><font size=2 face="serif">President and Chief Executive Officer,</font></i><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;The Metropolitan Opera Association</font><br>
      <br>
      <b><font size=2 face="serif">Leroy C. Richie </font></b><sup><font size=2 face="serif">(1,3)</font></sup><br>
      <i><font size=2 face="serif">Counsel, </font></i><font size=2 face="serif">Lewis &amp; Munday,
      P.C.</font><br>
      <i><font size=2 face="serif">Director, </font></i><font size=2 face="serif">Vibration
      Control Technologies, LLC</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;and OGE Energy Corp.</font><br>
      <i><font size=2 face="serif">Lead Outside Director, </font></i><font size=2 face="serif">Digital
      Ally Inc. and</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Infinity, Inc.</font><br>
      <i><font size=2 face="serif">Director and Chairman, </font></i><font size=2 face="serif">Highland
      Park Michigan</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Economic Development Corp.</font><br>
      <i><font size=2 face="serif">Chairman, </font></i><font size=2 face="serif">Detroit
      Public Schools Foundation</font><br>
      <br>
      <b><font size=2 face="serif">Robert L. Shafer </font></b><sup><font size=2 face="serif">(2,3)</font></sup><br>
      <i><font size=2 face="serif">Ambassador and Permanent Observer of the</font></i><br>
      <i><font size=2 face="serif">&nbsp;&nbsp;&nbsp;Sovereign Military Order
      of Malta to the United</font></i><br>
      <i><font size=2 face="serif">&nbsp;&nbsp;&nbsp;Nations</font></i><br>
      <br>
      <b><font size=2 face="serif">James N. Whitson </font></b><sup><font size=2 face="serif">(1,3)</font></sup><br>
      <i><font size=2 face="serif">Retired Executive Vice President and Chief
      Operating</font></i><br>
      <i><font size=2 face="serif">&nbsp;&nbsp;&nbsp;Officer, </font></i><font size=2 face="serif">Sammons
      Enterprises, Inc.</font><br>
      <i><font size=2 face="serif">Director, </font></i><font size=2 face="serif">CommScope,
      Inc.</font><br>
      <br>
      <b><font size=2 face="serif">Brian T. Zino</font></b><br>
      <i><font size=2 face="serif">Director and President,</font></i><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;J. &amp; W. Seligman &amp; Co.
      Incorporated</font><br>
      <i><font size=2 face="serif">Chairman, </font></i><font size=2 face="serif">Seligman
      Data Corp.</font><br>
      <i><font size=2 face="serif">Director, </font></i><font size=2 face="serif">Seligman
      Advisors, Inc. and</font><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Seligman Services, Inc.</font><br>
      <i><font size=2 face="serif">Member of the Board of Governors,</font></i><br>
      <font size=2 face="serif">&nbsp;&nbsp;&nbsp;Investment Company Institute</font></p>
  <div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
  <table width="100%" border="0" cellspacing="0" cellpadding="0">
    <tr>
      <td width="3%" align="left"><font size=1 face="serif">Member:&nbsp;</font></td>
      <td width="97%" align="left"><font size=1 face="serif">(1)
          Audit Committee</font></td>
    </tr>
    <tr>
      <td align="left" width="3%"><font size=1 face="serif">&nbsp;</font></td>
      <td align="left"><font size=1 face="serif">(2) Director Nominating Committee</font></td>
    </tr>
    <tr>
      <td align="left" width="3%"><font size=1 face="serif">&nbsp;</font></td>
      <td align="left"><font size=1 face="serif">(3) Board Operations Committee</font></td>
    </tr>
  </table>
</div>
<br clear=all>

<P align="left">
<B><FONT face="serif">Executive Officers</FONT></B></P>
<div style="position:relative;float:left;width:48%">
  <p align="left"><b><font size=2 face="serif">William C. Morris</font></b><br>
      <i><font size=2 face="serif">Chairman</font></i><br>
      <br>
      <b><font size=2 face="serif">Brian T. Zino</font></b><br>
      <i><font size=2 face="serif">President and Chief Executive Officer</font></i><br>
      <br>
      <b><font size=2 face="serif">John B. Cunningham</font></b><br>
      <i><font size=2 face="serif">Vice President</font></i><br>
      <br>
      <b><font size=2 face="serif">Eleanor T.M. Hoagland</font></b><br>
      <i><font size=2 face="serif">Vice President and Chief Compliance Officer</font></i><br>
      <br>
      <b><font size=2 face="serif">Charles W. Kadlec</font></b><br>
      <i><font size=2 face="serif">Vice President</font></i></p>
</div>

<div style="position:relative;float:right;width:48%">
  <p align="left"><b><font size=2 face="serif">Thomas G. Rose</font></b><br>
      <i><font size=2 face="serif">Vice President</font></i><br>
      <br>
      <b><font size=2 face="serif">Lawrence P. Vogel</font></b><br>
      <i><font size=2 face="serif">Vice President and Treasurer</font></i><br>
      <br>
      <b><font size=2 face="serif">Erik J. Voss</font></b><br>
      <i><font size=2 face="serif">Vice President</font></i><br>
      <br>
      <b><font size=2 face="serif">Paul B. Goucher</font></b><br>
      <i><font size=2 face="serif">Secretary</font></i><br>
      <br>
      <b><font size=2 face="serif">Marco F. Acosta</font></b><br>
      <i><font size=2 face="serif">Assistant Vice President</font></i></P>
</div>
<br clear=all>

<P align="center">
<I><FONT color="#8C2633" face="serif">29</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P STYLE="page-break-before:always"></P><PAGE><br>

<P align="left">
<I><FONT color="#8C2633" size=6 face="serif">Tri-Continental Corporation</FONT></I></P>
<P align="left">
<B><FONT face="serif">Additional Information</FONT></B></P>

<table width="100%" border="0" cellspacing="0" cellpadding="0">
  <tr>
    <td width="49%" rowspan="11" align="left" valign="top" nowrap><p align="left"><b><font size=2 face="serif">Manager</font></b><br>
            <font size=2 face="serif">J. &amp; W. Seligman &amp; Co. Incorporated</font><br>
            <font size=2 face="serif">100 Park Avenue</font><br>
            <font size=2 face="serif">New York, NY 10017</font></p>
        <p align="left"><b><font size=2 face="serif">Stockholder Service Agent</font></b><br>
            <font size=2 face="serif">Seligman Data Corp.</font><br>
            <font size=2 face="serif">100 Park Avenue</font><br>
            <font size=2 face="serif">New York, NY 10017</font></p>
      <p align="left"><i><font size=2 face="serif">Mail Inquiries To:</font></i><br>
            <font size=2 face="serif">P.O. Box 9759</font><br>
            <font size=2 face="serif">Providence, RI 02940-9759</font></p></td>
    <td width="2%" align="left" valign="top" nowrap>&nbsp;</td>
    <td colspan="2" align="left" valign="top" nowrap><b><font size=2 face="serif">Important
          Telephone Numbers</font></b></td>
    </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td width="6%" align="left" valign="top" nowrap><b><font size=2 face="serif">(800) TRI-1092&nbsp;&nbsp;&nbsp;</font></b></td>
    <td width="43%" align="left" valign="top" nowrap><font size=2 face="serif">Stockholder
        Services</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><b><font size=2 face="serif">(800) 445-1777</font></b></td>
    <td align="left" valign="top" nowrap><font size=2 face="serif">Retirement
        Plan Services</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><b><font size=2 face="serif">(212) 682-7600</font></b></td>
    <td align="left" valign="top" nowrap><font size=2 face="serif">Outside the
        United States</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><b><font size=2 face="serif">(800) 622-4597</font></b></td>
    <td align="left" valign="top" nowrap><font size=2 face="serif">24-Hour Automated</font><br>
      <font size=2 face="serif">Telephone Access Service</font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
  </tr>

</table>
<br>

<P align="left">
<B><FONT size=2 face="serif">Quarterly Schedule of Investments</FONT></B></P>
<P align="left">
<FONT size=2 face="serif">A complete schedule of portfolio holdings owned by the Corporation will be filed with the SEC as of the end of the first and third quarters of each fiscal year on Form N-Q, and will be available to stockholders (i) without
charge, upon request, by calling toll-free (800) 874-1092 in the US or collect (212) 682-7600 outside the US or (ii) on the SEC&#146;s website at </FONT><B><FONT size=2 face="serif">www.sec.gov</FONT></B><FONT size=2 face="serif">.</FONT><SUP><FONT size=2 face="serif">1 </FONT></SUP><FONT size=2 face="serif">In addition,
the Form N-Q may be reviewed and copied at the SEC&#146;s Public Reference Room in Washington, D.C. Information on the operation of the Public Reference Room may be obtained
by calling (800) SEC-0330. Certain of the information contained in the Corporation&#146;s Form N-Q is also made available to stockholders on Seligman&#146;s website at </FONT><B><FONT size=2 face="serif">www.seligman.com</FONT></B><FONT size=2 face="serif">.</FONT><SUP><FONT size=2 face="serif">1</FONT></SUP></P>
<P align="left">
<B><FONT size=2 face="serif">Proxy Voting</FONT></B></P>
<P align="left">
<FONT size=2 face="serif">A description of the policies and procedures used by the Corporation to determine how to vote proxies relating to portfolio securities as well as information regarding how the Corporation voted proxies relating to
portfolio securities during the 12-month period ended June 30 of each year will be available (i) without charge, upon request, by calling toll-free (800) 874-1092 in the US or collect (212) 682-7600 outside the US and (ii) on the SEC&#146;s website
at </FONT><B><FONT size=2 face="serif">www.sec.gov</FONT></B><FONT size=2 face="serif">.</FONT><SUP><FONT size=2 face="serif">1 </FONT></SUP><FONT size=2 face="serif">Information for each new 12-month period ending June 30 will be available no later
than August 31 of that year.</FONT></P>
<P align="left">
<FONT size=2 face="serif">This report is intended for the information of Stockholders who have received the current prospectus covering shares of Tri-Continental Corporation, which contains information about
investment objectives, risks, management fees and other costs. The prospectus should be read carefully before investing and may be obtained by calling Stockholder Services at 800-TRI-1092.</FONT></P>
<div style="border-bottom:1px solid #000000; width:100px">&nbsp;</div>
<table width="100%" border="0" cellspacing="0" cellpadding="0">
  <tr>
    <td width="99%" align="left" valign="top"><sup><font size=1 face="serif">1</font></sup> <font size=1 face="serif">These
        website references are inactive textual references and information contained
        in or otherwise accessible through these websites does not form a part
        of this report or the Corporation&#146;s <br>
        &nbsp;&nbsp;&nbsp;prospectus or statement of additional
        information.</font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>
<P align="left">&nbsp;</P>
<P align="left">&nbsp;</P>
<P align="left">&nbsp;</P>
<table width="100%" border="0" STYLE="border:1px solid #8C2633;" cellspacing="0" cellpadding="0">
  <tr>
    <td height="30"><div align="center"><font face="serif">END OF MID-YEAR REPORT</font></div></td>
  </tr>
</table>
<br>

<P align="center">
<I><FONT color="#8C2633" face="serif">30</FONT></I></P>

<HR noshade align="center" width="100%" size=4>
<P align="left" style="page-break-before:always"></P><PAGE>

<br>

<TABLE width="100%" border=0 cellpadding=0 cellspacing=0>
<TR valign="bottom">
        <TD width="5%" align=left valign="top" nowrap>
<FONT size=2 face="serif">ITEM 2.</FONT>        </TD>
        <TD colspan="2" align=left valign="top" nowrap>
<FONT size=2 face="serif">CODE OF ETHICS.</FONT>        </TD>
</TR>
<TR valign="bottom">
        <TD align=left valign="top" nowrap>&nbsp;       </TD>
        <TD colspan="2" align=left valign="top" nowrap>
 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT size=2 face="serif">Not applicable.</FONT>     </TD>
</TR>
<TR>
        <TD colspan=3 align="left" valign="top">&nbsp;  </TD>
</TR>
<TR valign="bottom">
        <TD align=left valign="top" nowrap>
<FONT size=2 face="serif">ITEM 3.</FONT>        </TD>
        <TD colspan="2" align=left valign="top" nowrap>
<FONT size=2 face="serif">AUDIT COMMITTEE FINANCIAL EXPERT.</FONT>      </TD>
</TR>
<TR valign="bottom">
        <TD align=left valign="top" nowrap>&nbsp;       </TD>
        <TD colspan="2" align=left valign="top" nowrap>
 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT size=2 face="serif">Not applicable.</FONT>     </TD>
</TR>
<TR>
        <TD colspan=3 align="left" valign="top">&nbsp;  </TD>
</TR>
<TR valign="bottom">
        <TD align=left valign="top" nowrap>
<FONT size=2 face="serif">ITEM 4.</FONT>        </TD>
        <TD colspan="2" align=left valign="top" nowrap>
<FONT size=2 face="serif">PRINCIPAL ACCOUNTANT FEES AND SERVICES.</FONT>        </TD>
</TR>
<TR valign="bottom">
        <TD align=left valign="top" nowrap>&nbsp;       </TD>
        <TD colspan="2" align=left valign="top" nowrap>
 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT size=2 face="serif">Not applicable.</FONT>     </TD>
</TR>
<TR>
        <TD colspan=3 align="left" valign="top">&nbsp;  </TD>
</TR>
<TR valign="bottom">
        <TD align=left valign="top" nowrap>
<FONT size=2 face="serif">ITEM 5.</FONT>        </TD>
        <TD colspan="2" align=left valign="top" nowrap>
<FONT size=2 face="serif">AUDIT COMMITTEE OF LISTED REGISTRANTS.</FONT> </TD>
</TR>
<TR valign="bottom">
        <TD align=left valign="top" nowrap>&nbsp;       </TD>
        <TD colspan="2" align=left valign="top" nowrap>
 &nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT size=2 face="serif">Not applicable.</FONT>     </TD>
</TR>
<TR valign="bottom">
  <TD align=left valign="top" nowrap>&nbsp;</TD>
  <TD colspan="2" align=left valign="top" nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left valign="top" nowrap><font size=2 face="serif">ITEM 6.</font></TD>
  <TD colspan="2" align=left valign="top" nowrap><font size=2 face="serif">INVESTMENTS.</font></TD>
</TR>
<TR valign="bottom">
  <TD align=left valign="top" nowrap>&nbsp;</TD>
  <TD align=left valign="top" nowrap>&nbsp;</TD>
  <TD align=left valign="top" nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left valign="top" nowrap>&nbsp;</TD>
  <TD width="2%" align=left valign="top" nowrap><font size=2 face="serif">(a)&nbsp;&nbsp;&nbsp;</font></TD>
  <TD width="93%" align=left valign="top" nowrap><font size=2 face="serif">Schedule I &#150; Investments
    in securities of unaffiliated issuers. Included in Item 1 above.</font></TD>
</TR>
<TR valign="bottom">
  <TD align=left valign="top" nowrap>&nbsp;</TD>
  <TD align=left valign="top" nowrap>&nbsp;</TD>
  <TD align=left valign="top" nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left valign="top" nowrap>&nbsp;</TD>
  <TD align=left valign="top" nowrap><font size=2 face="serif">(b)</font></TD>
  <TD align=left valign="top" nowrap><font size=2 face="serif">Not applicable.</font></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD colspan="2" align=left nowrap>&nbsp;</TD>
</TR>

<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">ITEM 7.</FONT>        </TD>
        <TD colspan="2" align=left nowrap>
      <FONT size=2 face="serif">DISCLOSURE OF PROXY VOTING POLICIES AND PROCEDURES FOR</FONT>   </TD>
  </TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD colspan="2" align=left nowrap>
      <FONT size=2 face="serif">CLOSED-END MANAGEMENT INVESTMENT COMPANIES.</FONT>      </TD>
  </TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD colspan="2" align=left nowrap>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT size=2 face="serif">Not applicable.</FONT>    </TD>
  </TR>
<TR>
        <TD colspan=3>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">ITEM 8.</FONT>        </TD>
        <TD colspan="2" align=left nowrap>
      <FONT size=2 face="serif">PORTFOLIO MANAGERS OF CLOSED-END MANAGEMENT INVESTMENT</FONT>   </TD>
  </TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD colspan="2" align=left nowrap>
      <FONT size=2 face="serif">COMPANIES.</FONT>       </TD>
  </TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD colspan="2" align=left nowrap>&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT size=2 face="serif">Not applicable.</FONT>    </TD>
  </TR>
<TR>
        <TD colspan=3>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">ITEM 9.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT>        </TD>
        <TD colspan="2" align=left nowrap>
      <FONT size=2 face="serif">PURCHASES OF EQUITY SECURITIES BY CLOSED-END MANAGEMENT</FONT>  </TD>
  </TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD colspan="2" align=left nowrap>
      <FONT size=2 face="serif">INVESTMENT COMPANY AND AFFILIATED PURCHASERS.</FONT>    </TD>
  </TR>
</TABLE>
<BR>
<div style="margin-left:70px">
<TABLE width="90%" border=0 cellpadding=0 cellspacing=0>
<TR valign="bottom">
        <TD width="14%" align=left nowrap>&nbsp;        </TD>
        <TD width="3%">&nbsp;   </TD>
        <TD width="15%" align=center nowrap>
<FONT size=2 face="serif">Total</FONT>  </TD>
        <TD width="4%">&nbsp;   </TD>
        <TD width="16%" align=left nowrap>&nbsp;        </TD>
        <TD width="4%">&nbsp;   </TD>
        <TD width="19%" align=center nowrap>
<FONT size=2 face="serif">Total Number of Shares</FONT> </TD>
        <TD width="4%">&nbsp;   </TD>
        <TD width="21%" align=center nowrap>
<FONT size=2 face="serif">Maximum Number (or</FONT>     </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">Number of</FONT>      </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">Average</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">(or Units) Purchased as</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">Approximate Dollar Value) of</FONT>   </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">Shares (or</FONT>     </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">Price Paid</FONT>     </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">Part of Publicly</FONT>       </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">Shares (or Units) that May Yet</FONT> </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">Units)</FONT> </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">per Share</FONT>      </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">Announced Plans or</FONT>     </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">Be Purchased Under the Plans</FONT>   </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
 &nbsp; &nbsp; &nbsp;<U><FONT size=2 face="serif">Period</FONT></U>     </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<U><FONT size=2 face="serif">Purchased</FONT></U>       </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<U><FONT size=2 face="serif">(or Unit)</FONT></U>       </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<U><FONT size=2 face="serif">Programs (1)</FONT></U>    </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<U><FONT size=2 face="serif">or Programs (1)</FONT></U> </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<U><FONT size=2 face="serif">Shares</FONT></U>  </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">1-01-08 to</FONT>     </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">1-31-08</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">163,547</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">&#36;19.32</FONT>     </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">163,547</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">4,988,334</FONT>      </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">2-01-08 to</FONT>     </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">2-29-08</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">92,708</FONT> </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">19.19</FONT>  </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">92,708</FONT> </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">4,895,626</FONT>      </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">3-01-08 to</FONT>     </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">3-31-08</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">199,128</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">17.69</FONT>  </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">199,128</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">4,696,498</FONT>      </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">4-01-08 to</FONT>     </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">4-30-08</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">540,131</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">18.02</FONT>  </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">540,131</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">4,156,367</FONT>      </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">5-01-08 to</FONT>     </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">5-31-08</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">450,921</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">18.83</FONT>  </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">450,921</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">3,705,446</FONT>      </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">6-01-08 to</FONT>     </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
        <TD>&nbsp;      </TD>
        <TD align=left nowrap>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">6-30-08</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">422,970</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">17.92</FONT>  </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">422,970</FONT>        </TD>
        <TD>&nbsp;      </TD>
        <TD align=center nowrap>
<FONT size=2 face="serif">3,282,476</FONT>      </TD>
</TR>
</TABLE>
</div>
<p><BR>
</p>
<HR noshade align="center" width="100%" size=4>



<P align="left" style="page-break-before:always"></P><PAGE>
<br>
<BR>
<TABLE border=0 cellspacing=0 cellpadding=0>
<TR>
  <TD nowrap valign=top>&nbsp;</TD>
  <TD align="left" valign="top"><font size=2 face="serif">(1)&nbsp;&nbsp;&nbsp;</font></TD>
  <TD align="left" valign="top"><font size=2 face="serif">The stock repurchase program, renewed on November
      15, 2007, authorizes the Registrant to repurchase up to 5.0% of its common
      stock in the open market or elsewhere from January 1, 2008 through December
      31, 2008 as long as the discount of the net asset value of the common stock
      to its market price exceeds 5%. The Board intends such repurchases to moderate
      the growth in the number of outstanding shares resulting from the investment
    by Stockholders of distributions received under the Distribution Policy.</font></TD>
</TR>
<TR>
  <TD nowrap valign=top>&nbsp;</TD>
  <TD colspan="2">&nbsp;</TD>
</TR>
<TR>
  <TD nowrap valign=top><font size=2 face="serif">ITEM 10.</font></TD>
  <TD colspan="2"><font size=2 face="serif">SUBMISSION OF MATTERS TO A VOTE OF SECURITY HOLDERS.</font></TD>
</TR>
<TR>
  <TD nowrap valign=top>&nbsp;</TD>
  <TD colspan="2">&nbsp; &nbsp; &nbsp; &nbsp; &nbsp;<FONT size=2 face="serif">Not applicable.</FONT></TD>
</TR>
<TR>
  <TD nowrap valign=top>&nbsp;</TD>
  <TD colspan="2">&nbsp;</TD>
</TR>
<TR>
  <TD nowrap valign=top><font size=2 face="serif">ITEM 11.&nbsp;&nbsp;&nbsp;&nbsp;</font></TD>
  <TD colspan="2"><font size=2 face="serif">CONTROLS AND PROCEDURES.</font></TD>
</TR>

<TR>
        <TD nowrap valign=top>
<FONT size=2 face="serif">(a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
        <TD width=100% colspan="2">
<P align="left"><FONT size=2 face="serif">The registrant&#146;s principal executive officer and principal financial officer have concluded, based upon their evaluation of the registrant&#146;s disclosure controls and procedures as conducted within
90 days of the filing date of this report, that these disclosure controls and procedures provide reasonable assurance that material information required to be disclosed by the registrant in the report it files or submits on Form N-CSR is recorded,
processed, summarized and reported, within the time periods specified in the Commission&#146;s rules and forms and that such material information is accumulated and communicated to the registrant&#146;s management, including its principal executive
officer and principal financial officer, as appropriate, in order to allow timely decisions regarding required disclosure.</FONT></P>   </TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
        <TD nowrap valign=top>
<FONT size=2 face="serif">(b)</FONT></TD>
        <TD width=100% colspan="2">
<P align="left"><FONT size=2 face="serif">The registrant&#146;s principal executive officer and principal financial officer are aware of no changes in the registrant&#146;s internal control over financial reporting that occurred during the second
fiscal quarter of the period covered by this report that has materially affected, or is reasonably likely to materially affect, the registrant&#146;s internal control over financial reporting.</FONT></P>     </TD>
</TR>
<TR>
  <TD nowrap valign=top>&nbsp;</TD>
  <TD colspan="2">&nbsp;</TD>
</TR>
<TR>
  <TD nowrap valign=top><font size=2 face="serif">ITEM 12.</font></TD>
  <TD colspan="2"><font size=2 face="serif">EXHIBITS.</font></TD>
</TR>

<TR>
  <TD nowrap valign=top><font size=2 face="serif">(a)(1)</font></TD>
  <TD colspan="2"><font size=2 face="serif">Not applicable.</font></TD>
</TR>
<TR>
  <TD valign=top nowrap><font size=2 face="serif">(a)(2)</font></TD>
  <TD colspan="2" valign="top"><font size=2 face="serif">Certifications of principal
      executive officer and principal financial officer as required by</font><font size=2 face="serif"> Rule
      30a-2(a) under the Investment Company Act of 1940.</font></TD>
</TR>

<TR>
  <TD nowrap valign=top><font size=2 face="serif">(a)(3)</font></TD>
  <TD colspan="2"><font size=2 face="serif">Not applicable.</font></TD>
</TR>
<TR>
  <TD valign=top nowrap><font size=2 face="serif">(b)</font></TD>
  <TD colspan="2"><font size=2 face="serif">Certifications of chief executive
    officer and chief financial officer as required by Rule</font><font size=2 face="serif"> 30a-2(b)
    under the Investment Company Act of 1940.</font></TD>
</TR>
</TABLE>
<p><BR>
</p>
<HR noshade align="center" width="100%" size=4>



<P align="left" style="page-break-before:always"></P><PAGE>
<br>

<P align="center">
<FONT size=2 face="serif">SIGNATURES</FONT></P>
<P align="left">
<FONT size=2 face="serif">Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, the registrant has duly caused this report to be signed on its behalf by the undersigned, thereunto duly
authorized. </FONT></P>
<P align="left">
<FONT size=2 face="serif">TRI-CONTINENTAL CORPORATION</FONT></P>
<TABLE width="30%" border=0 cellpadding=0 cellspacing=0>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
        <TD width="11%" align=left nowrap>
<FONT size=2 face="serif">By:</FONT>    </TD>
        <TD width="89%" align=left nowrap>
<FONT size=2 face="serif">/S/ BRIAN T. ZINO</FONT>      </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD align=left nowrap>
<FONT size=2 face="serif">Brian T. Zino</FONT>  </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD align=left nowrap>
<FONT size=2 face="serif">President and Chief Executive Officer</FONT>  </TD>
</TR>
<TR>
        <TD colspan=2>&nbsp;    </TD>
</TR>
<TR>
        <TD colspan=2>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">Date:&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT>    </TD>
        <TD align=left nowrap>
<FONT size=2 face="serif">September 2, 2008</FONT>      </TD>
</TR>
</TABLE>
<BR>
<P align="left">
<FONT size=2 face="serif">Pursuant to the requirements of the Securities Exchange Act of 1934 and the Investment Company Act of 1940, this report has been signed below by the following persons on behalf of the registrant and in the capacities and on
the dates indicated.</FONT></P>
<TABLE width="30%" border=0 cellpadding=0 cellspacing=0>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
        <TD width="11%" align=left nowrap>
<FONT size=2 face="serif">By:</FONT>    </TD>
        <TD width="89%" align=left nowrap>
<FONT size=2 face="serif">/S/ BRIAN T. ZINO</FONT>      </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD align=left nowrap>
<FONT size=2 face="serif">Brian T. Zino</FONT>  </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD align=left nowrap>
<FONT size=2 face="serif">President and Chief Executive Officer</FONT>  </TD>
</TR>
<TR>
        <TD colspan=2>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">Date:&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT>    </TD>
        <TD align=left nowrap>
<FONT size=2 face="serif">September 2, 2008</FONT>      </TD>
</TR>
<TR>
        <TD colspan=2>&nbsp;    </TD>
</TR>
<TR>
        <TD colspan=2>&nbsp;    </TD>
</TR>
<TR>
        <TD colspan=2>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">By:</FONT>    </TD>
        <TD align=left nowrap>
<FONT size=2 face="serif">/S/ LAWRENCE P. VOGEL</FONT>  </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD align=left nowrap>
<FONT size=2 face="serif">Lawrence P. Vogel</FONT>      </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>&nbsp;    </TD>
        <TD align=left nowrap>
<FONT size=2 face="serif">Vice President, Treasurer and Chief Financial Officer</FONT>  </TD>
</TR>
<TR>
        <TD colspan=2>&nbsp;    </TD>
</TR>
<TR valign="bottom">
        <TD align=left nowrap>
<FONT size=2 face="serif">Date:</FONT>  </TD>
        <TD align=left nowrap>
<FONT size=2 face="serif">September 2, 2008</FONT>      </TD>
</TR>
</TABLE>
<p><BR>
</p>
<HR noshade align="center" width="100%" size=4>



<P align="left" style="page-break-before:always"></P><PAGE>
<br>

<P align="left">
<FONT size=2 face="serif">TRI-CONTINENTAL CORPORATION </FONT><BR>
<BR>
<FONT size=2 face="serif">EXHIBIT INDEX </FONT></P>
<table width="100%" border="0" cellspacing="0" cellpadding="0">
  <tr>
    <td width="3%" align="left" valign="top" nowrap>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</td>
    <td width="3%" align="left" valign="top" nowrap><font size=2 face="serif">(a)(2)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</font></td>
    <td width="94%" align="left" valign="top"><font size=2 face="serif">Certifications of
        principal executive officer and principal financial officer as required
    by Rule 30a-2(a) under the Investment Company Act of 1940. </font></td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top">&nbsp;</td>
  </tr>
  <tr>
    <td align="left" valign="top" nowrap>&nbsp;</td>
    <td align="left" valign="top" nowrap><font size=2 face="serif">(b)</font><font size=2 face="sans-serif">&nbsp;</font></td>
    <td align="left" valign="top"><font size=2 face="serif">Certification of
        chief executive officer and chief financial officer as required by Rule
    30a-2(b) of the Investment Company Act of 1940. </font></td>
  </tr>
</table>
<P align="left">&nbsp;</P>

<HR noshade align="center" width="100%" size=4>
</BODY>

</HTML>

</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>GRAPHIC
<SEQUENCE>2
<FILENAME>c54390_ncsrsx1x1.jpg
<DESCRIPTION>GRAPHIC
<TEXT>
begin 644 c54390_ncsrsx1x1.jpg
M_]C_X``02D9)1@`!`0$`8`!@``#_X0`617AI9@``24DJ``@```````````#_
MVP!#``@&!@<&!0@'!P<)"0@*#!0-#`L+#!D2$P\4'1H?'AT:'!P@)"XG("(L
M(QP<*#<I+#`Q-#0T'R<Y/3@R/"XS-#+_VP!#`0D)"0P+#!@-#1@R(1PA,C(R
M,C(R,C(R,C(R,C(R,C(R,C(R,C(R,C(R,C(R,C(R,C(R,C(R,C(R,C(R,C(R
M,C+_P``1"`0A`O`#`2(``A$!`Q$!_\0`'P```04!`0$!`0$```````````$"
M`P0%!@<("0H+_\0`M1```@$#`P($`P4%!`0```%]`0(#``01!1(A,4$&$U%A
M!R)Q%#*!D:$((T*QP152T?`D,V)R@@D*%A<8&1HE)B<H*2HT-38W.#DZ0T1%
M1D=(24I35%565UA96F-D969G:&EJ<W1U=G=X>7J#A(6&AXB)BI*3E)66EYB9
MFJ*CI*6FIZBIJK*SM+6VM[BYNL+#Q,7&Q\C)RM+3U-76U]C9VN'BX^3EYN?H
MZ>KQ\O/T]?;W^/GZ_\0`'P$``P$!`0$!`0$!`0````````$"`P0%!@<("0H+
M_\0`M1$``@$"!`0#!`<%!`0``0)W``$"`Q$$!2$Q!A)!40=A<1,B,H$(%$*1
MH;'!"2,S4O`58G+1"A8D-.$E\1<8&1HF)R@I*C4V-S@Y.D-$149'2$E*4U15
M5E=865IC9&5F9VAI:G-T=79W>'EZ@H.$A8:'B(F*DI.4E9:7F)F:HJ.DI::G
MJ*FJLK.TM;:WN+FZPL/$Q<;'R,G*TM/4U=;7V-G:XN/DY>;GZ.GJ\O/T]?;W
M^/GZ_]H`#`,!``(1`Q$`/P"YKGQC\1:;X@U*PAM-,,5M=2PH7BD+%58@9P_7
M`JA_PO#Q/_SYZ5_WZD_^+KC/%G_(Y:Y_V$)__1C5CTFSZZCE^&E3BW'H>E_\
M+P\3_P#/GI7_`'ZD_P#CE2R_&SQ*D<#"TTO,B%CF*3KN8?W_`&KR^K%S_J+3
M_KD?_0VI-LMY=AM/</1H?C5XGN9HX/L^FQ^:P3>D+[ER<9&7(S]0:9_PO#Q/
M_P`^>E?]^I/_`(Y7GEA_R$;7_KJG\Q5>B[N/^SL->W(>G'XT^)UA6?[/IIWL
M4V&%]HV@'(^?.3NYY[#ISEG_``O#Q/\`\^>E?]^I/_BZ\\?_`)!T/_763^25
M7H38++L,_L'ITWQJ\3VTTD'V?39/*8IO>%]S8.,G#@9^@%`^-7B=H6G^SZ:-
MC!-@A?:=P)R?GSD;>.>YZ\8\YO\`_D(W7_75_P"9H3_D'3?]=8_Y/1=V%_9^
M&M?D/0_^%X>)_P#GSTK_`+]2?_%T^7XU>)[=PGV?37RJOEX7S\P#8X<<#.![
M#G)YKS&K%[_KU_ZY1?\`H"T7=Q_V=AK_``'HR?&GQ/*DC_9]-7R5WX6%\-R%
MP<OT^;/&.0.V06?\+P\3_P#/GI7_`'ZD_P#CE>>6W^HN_P#KD/\`T-:KT)L%
MEV&_D/3G^-7B>)(W^SZ:WG+OPT+X7DK@8?I\N><\D]L`$7QJ\3W#E/L^FIA6
M?*0OGY06QRYX.,'V/&#S7G-Q_J+3_KD?_0VHLO\`7M_URE_]`:B[L+^S\-:_
M(>A_\+P\3_\`/GI7_?J3_P".4\_&GQ.L*S_9]-.]BFPPOM&T`Y'SYR=W//8=
M.<^8U8?_`)!T/_763^2478/+\-I[AZ-#\:O$]S-'!]GTV/S6";TA?<N3C(RY
M&?J#3/\`A>'B?_GSTK_OU)_\<KSRP_Y"-K_UU3^8JO1=W'_9V&O;D/3A\:?$
M[0M/]GTT;&";!"^T[@3D_/G(V\<]SUXPS_A>'B?_`)\]*_[]2?\`QRO/$_Y!
MTW_76/\`D]5Z$V"R[#?R'ITWQJ\3VTTD'V?39/*8IO>%]S8.,G#@9^@%"?&K
MQ/*DC_9]-7R5WX6%\-R%P<OT^;/&.0.V0?.;_P#Y"-U_UU?^9HM_]1=_]<A_
MZ&M%W87]GX:U^0]#_P"%X>)_^?/2O^_4G_Q=/E^-7B>W<)]GTU\JKY>%\_,`
MV.''`S@>PYR>:\QJQ>_Z]?\`KE%_Z`M%W<?]G8:_P'HT7QI\3W#E/L^FIA6?
M*0OGY06QRYX.,'V/&#S3/^%X>)_^?/2O^_4G_P`<KSRR_P!>W_7*7_T!JKT7
M=P_L[#7MR'IS_&KQ/$D;_9]-;SEWX:%\+R5P,/T^7/.>2>V`"'XU>)[F:.#[
M/IL?FL$WI"^Y<G&1ER,_4&O.;C_46G_7(_\`H;46'_(1M?\`KJG\Q1=V%_9^
M&M?D/0_^%X>)_P#GSTK_`+]2?_'*>?C3XG6%9_L^FG>Q3887VC:`<CY\Y.[G
MGL.G.?,:L/\`\@Z'_KK)_)*+L'E^&T]P]#_X7AXG_P"?/2O^_4G_`,73YOC3
MXGMII(/L^FR>4Q3>\+[FP<9.'`S]`*\QJQ?_`/(1NO\`KJ_\S1=W'_9V&O\`
M`>C#XT^)VA:?[/IHV,$V"%]IW`G)^?.1MXY[GKQAG_"\/$__`#YZ5_WZD_\`
MCE>>)_R#IO\`KK'_`">J]";!9=AOY#TZ7XU>)[=PGV?37RJOEX7S\P#8X<<#
M.![#G)YH3XU>)Y4D?[/IJ^2N_"POAN0N#E^GS9XQR!VR#YS>_P"O7_KE'_Z`
MM%O_`*B[_P"N0_\`0UHN["_L_#6OR'H?_"\/$_\`SYZ5_P!^I/\`XY3W^-/B
M>)(W^SZ:WFKOPT+X7DK@8?I\N><\D]L`>8U8N?\`46G_`%R/_H;4-L;R[#?R
M'HT7QI\3W#E/L^FIA6?*0OGY06QRYX.,'V/&#S3/^%X>)_\`GSTK_OU)_P#'
M*\\LO]>W_7*7_P!`:J]%W</[.PU[<AZ<?C5XG6%9_L^FG>Q3887VC:`<CY\Y
M.[GGL.G.2'XU>)[F:.#[/IL?FL$WI"^Y<G&1ER,_4&O.7_Y!T/\`UUD_DE%A
M_P`A&U_ZZI_,47=A?V?AK7Y#T/\`X7AXG_Y\]*_[]2?_`!RGCXT^)VA:?[/I
MHV,$V"%]IW`G)^?.1MXY[GKQCS&K"?\`(.F_ZZQ_R>AMC>78:WP'H?\`PO#Q
M/_SYZ5_WZD_^+I\WQI\3VTTD'V?39/*8IO>%]S8.,G#@9^@%>8U8O_\`D(W7
M_75_YFB[N']G8:_P'HR?&GQ/*DC_`&?35\E=^%A?#<A<'+]/FSQCD#MD%G_"
M\/$__/GI7_?J3_XY7GEM_J+O_KD/_0UJO0FP678;^0].E^-7B>W<)]GTU\JK
MY>%\_,`V.''`S@>PYR>:(OC5XGN'*?9]-3"L^4A?/R@MCESP<8/L>,'FO.;W
M_7K_`-<HO_0%HLO]>W_7*7_T!J+NPO[/PW+?D/0_^%X>)_\`GSTK_OU)_P#'
M*>_QI\3Q)&_V?36\U=^&A?"\E<##]/ESSGDGM@#S&K%S_J+3_KD?_0VHNP>7
MX;3W#T:'XU>)[F:.#[/IL?FL$WI"^Y<G&1ER,_4&F?\`"\/$_P#SYZ5_WZD_
M^.5YY8?\A&U_ZZI_,57HN[C_`+.PU[<AZ<?C3XG6%9_L^FG>Q3887VC:`<CY
M\Y.[GGL.G.6?\+P\3_\`/GI7_?J3_P"+KSQ_^0=#_P!=9/Y)5>A-@LNPS^P>
MG3?&KQ/;320?9]-D\IBF]X7W-@XR<.!GZ`4#XU>)VA:?[/IHV,$V"%]IW`G)
M^?.1MXY[GKQCSF__`.0C=?\`75_YFA/^0=-_UUC_`)/1=V%_9^&M?D/0_P#A
M>'B?_GSTK_OU)_\`%T^7XU>)[=PGV?37RJOEX7S\P#8X<<#.![#G)YKS&K%[
M_KU_ZY1?^@+1=W'_`&=AK_`>C)\:?$\J2/\`9]-7R5WX6%\-R%P<OT^;/&.0
M.V06?\+P\3_\^>E?]^I/_CE>>6W^HN_^N0_]#6J]";!9=AOY#TY_C5XGB2-_
ML^FMYR[\-"^%Y*X&'Z?+GG/)/;`!%\:O$]PY3[/IJ85GRD+Y^4%L<N>#C!]C
MQ@\UYS<?ZBT_ZY'_`-#:BR_U[?\`7*7_`-`:B[L+^S\-:_(>A_\`"\/$_P#S
MYZ5_WZD_^.4\_&GQ.L*S_9]-.]BFPPOM&T`Y'SYR=W//8=.<^8U8?_D'0_\`
M763^2478/+\-I[AZ-#\:O$]S-'!]GTV/S6";TA?<N3C(RY&?J#3/^%X>)_\`
MGSTK_OU)_P#'*\\L/^0C:_\`75/YBJ]%W<?]G8:]N0].'QI\3M"T_P!GTT;&
M";!"^T[@3D_/G(V\<]SUXPS_`(7AXG_Y\]*_[]2?_'*\\3_D'3?]=8_Y/5>A
M-@LNPW\AZ=-\:O$]M-)!]GTV3RF*;WA?<V#C)PX&?H!0GQJ\3RI(_P!GTU?)
M7?A87PW(7!R_3YL\8Y`[9!\YO_\`D(W7_75_YFBW_P!1=_\`7(?^AK1=V%_9
M^&M?D/0_^%X>)_\`GSTK_OU)_P#%T^7XU>)[=PGV?37RJOEX7S\P#8X<<#.!
M[#G)YKS&K%[_`*]?^N47_H"T7=Q_V=AK_`>C1?&GQ/<.4^SZ:F%9\I"^?E!;
M'+G@XP?8\8/-,_X7AXG_`.?/2O\`OU)_\<KSRR_U[?\`7*7_`-`:J]%W</[.
MPU[<AZ<_QJ\3Q)&_V?36\Y=^&A?"\E<##]/ESSGDGM@`A^-7B>YFC@^SZ;'Y
MK!-Z0ON7)QD9<C/U!KSFX_U%I_UR/_H;46'_`"$;7_KJG\Q1=V%_9^&M?D/0
M_P#A>'B?_GSTK_OU)_\`'*>?C3XG6%9_L^FG>Q3887VC:`<CY\Y.[GGL.G.?
M,:L/_P`@Z'_KK)_)*+L'E^&T]P]#_P"%X>)_^?/2O^_4G_Q=/F^-/B>VFD@^
MSZ;)Y3%-[PON;!QDX<#/T`KS&K%__P`A&Z_ZZO\`S-%W<?\`9V&O\!Z,/C3X
MG:%I_L^FC8P38(7VG<"<GY\Y&WCGN>O&&?\`"\/$_P#SYZ5_WZD_^.5YXG_(
M.F_ZZQ_R>J]";!9=AOY#TZ7XU>)[=PGV?37RJOEX7S\P#8X<<#.![#G)YH3X
MU>)Y4D?[/IJ^2N_"POAN0N#E^GS9XQR!VR#YS>_Z]?\`KE'_`.@+1;_ZB[_Z
MY#_T-:+NPO[/PUK\AZ'_`,+P\3_\^>E?]^I/_CE/?XT^)XDC?[/IK>:N_#0O
MA>2N!A^GRYYSR3VP!YC5BY_U%I_UR/\`Z&U#;&\NPW\AZ-%\:?$]PY3[/IJ8
M5GRD+Y^4%L<N>#C!]CQ@\TS_`(7AXG_Y\]*_[]2?_'*\\LO]>W_7*7_T!JKT
M7=P_L[#7MR'IQ^-/B=85G^SZ:=[%-AA?:-H!R/GSD[N>>PZ<Y9_PO#Q/_P`^
M>E?]^I/_`(Y7GC_\@Z'_`*ZR?R2J]";!9=AG]@V/%G_(Y:Y_V$)__1C5CUL>
M+/\`D<M<_P"PA/\`^C&K'IO<Z:'\*/H@JQ<_ZBT_ZY'_`-#:J]6+G_46G_7(
M_P#H;5++>Z"P_P"0C:_]=4_F*KU8L/\`D(VO_75/YBJ]'4.I8?\`Y!T/_763
M^257JP__`"#H?^NLG\DJO0@CL6+_`/Y"-U_UU?\`F:$_Y!TW_76/^3T7_P#R
M$;K_`*ZO_,T)_P`@Z;_KK'_)Z.@OLHKU8O?]>O\`URB_]`6J]6+W_7K_`-<H
MO_0%HZE=0MO]1=_]<A_Z&M5ZL6W^HN_^N0_]#6J]"!;LL7/^HM/^N1_]#:BR
M_P!>W_7*7_T!J+G_`%%I_P!<C_Z&U%E_KV_ZY2_^@-1T)^RRO5A_^0=#_P!=
M9/Y)5>K#_P#(.A_ZZR?R2@;Z!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+
M"?\`(.F_ZZQ_R>J]6$_Y!TW_`%UC_D]5Z$-=2Q?_`/(1NO\`KJ_\S1;?ZB[_
M`.N0_P#0UHO_`/D(W7_75_YFBV_U%W_UR'_H:T="?LHKU8O?]>O_`%RB_P#0
M%JO5B]_UZ_\`7*+_`-`6CJ5U"R_U[?\`7*7_`-`:J]6++_7M_P!<I?\`T!JK
MT=1=2Q<_ZBT_ZY'_`-#:BP_Y"-K_`-=4_F*+G_46G_7(_P#H;46'_(1M?^NJ
M?S%'07V65ZL/_P`@Z'_KK)_)*KU8?_D'0_\`763^24#?0KU8O_\`D(W7_75_
MYFJ]6+__`)"-U_UU?^9HZCZ@G_(.F_ZZQ_R>J]6$_P"0=-_UUC_D]5Z$"ZEB
M]_UZ_P#7*+_T!:+;_47?_7(?^AK1>_Z]?^N47_H"T6W^HN_^N0_]#6CH3]E%
M>K%S_J+3_KD?_0VJO5BY_P!1:?\`7(_^AM0QO=!9?Z]O^N4O_H#57JQ9?Z]O
M^N4O_H#57HZAU+#_`/(.A_ZZR?R2BP_Y"-K_`-=4_F*'_P"0=#_UUD_DE%A_
MR$;7_KJG\Q1T%]EE>K"?\@Z;_KK'_)ZKU83_`)!TW_76/^3T,;V*]6+_`/Y"
M-U_UU?\`F:KU8O\`_D(W7_75_P"9HZCZA;?ZB[_ZY#_T-:KU8MO]1=_]<A_Z
M&M5Z$"ZEB]_UZ_\`7*+_`-`6BR_U[?\`7*7_`-`:B]_UZ_\`7*+_`-`6BR_U
M[?\`7*7_`-`:CH3]DKU8N?\`46G_`%R/_H;57JQ<_P"HM/\`KD?_`$-J!OH%
MA_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L/_P`@Z'_KK)_)*KU8?_D'0_\`
M763^257H01V+%_\`\A&Z_P"NK_S-"?\`(.F_ZZQ_R>B__P"0C=?]=7_F:$_Y
M!TW_`%UC_D]'07V45ZL7O^O7_KE%_P"@+5>K%[_KU_ZY1?\`H"T=2NH6W^HN
M_P#KD/\`T-:KU8MO]1=_]<A_Z&M5Z$"W98N?]1:?]<C_`.AM19?Z]O\`KE+_
M`.@-1<_ZBT_ZY'_T-J++_7M_URE_]`:CH3]EE>K#_P#(.A_ZZR?R2J]6'_Y!
MT/\`UUD_DE`WT"P_Y"-K_P!=4_F*KU8L/^0C:_\`75/YBJ]'4.I83_D'3?\`
M76/^3U7JPG_(.F_ZZQ_R>J]"&NI8O_\`D(W7_75_YFBV_P!1=_\`7(?^AK1?
M_P#(1NO^NK_S-%M_J+O_`*Y#_P!#6CH3]E%>K%[_`*]?^N47_H"U7JQ>_P"O
M7_KE%_Z`M'4KJ%E_KV_ZY2_^@-5>K%E_KV_ZY2_^@-5>CJ+J6+G_`%%I_P!<
MC_Z&U%A_R$;7_KJG\Q1<_P"HM/\`KD?_`$-J+#_D(VO_`%U3^8HZ"^RRO5A_
M^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2@;Z%>K%_P#\A&Z_ZZO_`#-5ZL7_`/R$
M;K_KJ_\`,T=1]03_`)!TW_76/^3U7JPG_(.F_P"NL?\`)ZKT(%U+%[_KU_ZY
M1?\`H"T6W^HN_P#KD/\`T-:+W_7K_P!<HO\`T!:+;_47?_7(?^AK1T)^RBO5
MBY_U%I_UR/\`Z&U5ZL7/^HM/^N1_]#:AC>Z"R_U[?]<I?_0&JO5BR_U[?]<I
M?_0&JO1U#J6'_P"0=#_UUD_DE5ZL/_R#H?\`KK)_)*KT(([&QXL_Y'+7/^PA
M/_Z,:L>MCQ9_R.6N?]A"?_T8U8]4]R*'\*/H@JQ<_P"HM/\`KD?_`$-JKU8N
M?]1:?]<C_P"AM4LM[H+#_D(VO_75/YBJ]6+#_D(VO_75/YBJ]'4.I8?_`)!T
M/_763^257JP__(.A_P"NLG\DJO0@CL6+_P#Y"-U_UU?^9H3_`)!TW_76/^3T
M7_\`R$;K_KJ_\S0G_(.F_P"NL?\`)Z.@OLHKU8O?]>O_`%RB_P#0%JO5B]_U
MZ_\`7*+_`-`6CJ5U"V_U%W_UR'_H:U7JQ;?ZB[_ZY#_T-:KT(%NRQ<_ZBT_Z
MY'_T-J++_7M_URE_]`:BY_U%I_UR/_H;467^O;_KE+_Z`U'0G[+*]6'_`.0=
M#_UUD_DE5ZL/_P`@Z'_KK)_)*!OH%A_R$;7_`*ZI_,57JQ8?\A&U_P"NJ?S%
M5Z.H=2PG_(.F_P"NL?\`)ZKU83_D'3?]=8_Y/5>A#74L7_\`R$;K_KJ_\S1;
M?ZB[_P"N0_\`0UHO_P#D(W7_`%U?^9HMO]1=_P#7(?\`H:T="?LHKU8O?]>O
M_7*+_P!`6J]6+W_7K_URB_\`0%HZE=0LO]>W_7*7_P!`:J]6++_7M_URE_\`
M0&JO1U%U+%S_`*BT_P"N1_\`0VHL/^0C:_\`75/YBBY_U%I_UR/_`*&U%A_R
M$;7_`*ZI_,4=!?997JP__(.A_P"NLG\DJO5A_P#D'0_]=9/Y)0-]"O5B_P#^
M0C=?]=7_`)FJ]6+_`/Y"-U_UU?\`F:.H^H)_R#IO^NL?\GJO5A/^0=-_UUC_
M`)/5>A`NI8O?]>O_`%RB_P#0%HMO]1=_]<A_Z&M%[_KU_P"N47_H"T6W^HN_
M^N0_]#6CH3]E%>K%S_J+3_KD?_0VJO5BY_U%I_UR/_H;4,;W067^O;_KE+_Z
M`U5ZL67^O;_KE+_Z`U5Z.H=2P_\`R#H?^NLG\DHL/^0C:_\`75/YBA_^0=#_
M`-=9/Y)18?\`(1M?^NJ?S%'07V65ZL)_R#IO^NL?\GJO5A/^0=-_UUC_`)/0
MQO8KU8O_`/D(W7_75_YFJ]6+_P#Y"-U_UU?^9HZCZA;?ZB[_`.N0_P#0UJO5
MBV_U%W_UR'_H:U7H0+J6+W_7K_URB_\`0%HLO]>W_7*7_P!`:B]_UZ_]<HO_
M`$!:++_7M_URE_\`0&HZ$_9*]6+G_46G_7(_^AM5>K%S_J+3_KD?_0VH&^@6
M'_(1M?\`KJG\Q5>K%A_R$;7_`*ZI_,57HZAU+#_\@Z'_`*ZR?R2J]6'_`.0=
M#_UUD_DE5Z$$=BQ?_P#(1NO^NK_S-"?\@Z;_`*ZQ_P`GHO\`_D(W7_75_P"9
MH3_D'3?]=8_Y/1T%]E%>K%[_`*]?^N47_H"U7JQ>_P"O7_KE%_Z`M'4KJ%M_
MJ+O_`*Y#_P!#6J]6+;_47?\`UR'_`*&M5Z$"W98N?]1:?]<C_P"AM19?Z]O^
MN4O_`*`U%S_J+3_KD?\`T-J++_7M_P!<I?\`T!J.A/V65ZL/_P`@Z'_KK)_)
M*KU8?_D'0_\`763^24#?0+#_`)"-K_UU3^8JO5BP_P"0C:_]=4_F*KT=0ZEA
M/^0=-_UUC_D]5ZL)_P`@Z;_KK'_)ZKT(:ZEB_P#^0C=?]=7_`)FBV_U%W_UR
M'_H:T7__`"$;K_KJ_P#,T6W^HN_^N0_]#6CH3]E%>K%[_KU_ZY1?^@+5>K%[
M_KU_ZY1?^@+1U*ZA9?Z]O^N4O_H#57JQ9?Z]O^N4O_H#57HZBZEBY_U%I_UR
M/_H;46'_`"$;7_KJG\Q1<_ZBT_ZY'_T-J+#_`)"-K_UU3^8HZ"^RRO5A_P#D
M'0_]=9/Y)5>K#_\`(.A_ZZR?R2@;Z%>K%_\`\A&Z_P"NK_S-5ZL7_P#R$;K_
M`*ZO_,T=1]03_D'3?]=8_P"3U7JPG_(.F_ZZQ_R>J]"!=2Q>_P"O7_KE%_Z`
MM%M_J+O_`*Y#_P!#6B]_UZ_]<HO_`$!:+;_47?\`UR'_`*&M'0G[**]6+G_4
M6G_7(_\`H;57JQ<_ZBT_ZY'_`-#:AC>Z"R_U[?\`7*7_`-`:J]6++_7M_P!<
MI?\`T!JKT=0ZEA_^0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2J]"".QL>+/\`D<M<
M_P"PA/\`^C&K'K8\6?\`(Y:Y_P!A"?\`]&-6/5/<BA_"CZ(*L7/^HM/^N1_]
M#:J]6+G_`%%I_P!<C_Z&U2RWN@L/^0C:_P#75/YBJ]6+#_D(VO\`UU3^8JO1
MU#J6'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)_)*KT(([%B__`.0C=?\`75_YFA/^
M0=-_UUC_`)/1?_\`(1NO^NK_`,S0G_(.F_ZZQ_R>CH+[**]6+W_7K_URB_\`
M0%JO5B]_UZ_]<HO_`$!:.I74+;_47?\`UR'_`*&M5ZL6W^HN_P#KD/\`T-:K
MT(%NRQ<_ZBT_ZY'_`-#:BR_U[?\`7*7_`-`:BY_U%I_UR/\`Z&U%E_KV_P"N
M4O\`Z`U'0G[+*]6'_P"0=#_UUD_DE5ZL/_R#H?\`KK)_)*!OH%A_R$;7_KJG
M\Q5>K%A_R$;7_KJG\Q5>CJ'4L)_R#IO^NL?\GJO5A/\`D'3?]=8_Y/5>A#74
ML7__`"$;K_KJ_P#,T6W^HN_^N0_]#6B__P"0C=?]=7_F:+;_`%%W_P!<A_Z&
MM'0G[**]6+W_`%Z_]<HO_0%JO5B]_P!>O_7*+_T!:.I74++_`%[?]<I?_0&J
MO5BR_P!>W_7*7_T!JKT=1=2Q<_ZBT_ZY'_T-J+#_`)"-K_UU3^8HN?\`46G_
M`%R/_H;46'_(1M?^NJ?S%'07V65ZL/\`\@Z'_KK)_)*KU8?_`)!T/_763^24
M#?0KU8O_`/D(W7_75_YFJ]6+_P#Y"-U_UU?^9HZCZ@G_`"#IO^NL?\GJO5A/
M^0=-_P!=8_Y/5>A`NI8O?]>O_7*+_P!`6BV_U%W_`-<A_P"AK1>_Z]?^N47_
M`*`M%M_J+O\`ZY#_`-#6CH3]E%>K%S_J+3_KD?\`T-JKU8N?]1:?]<C_`.AM
M0QO=!9?Z]O\`KE+_`.@-5>K%E_KV_P"N4O\`Z`U5Z.H=2P__`"#H?^NLG\DH
ML/\`D(VO_75/YBA_^0=#_P!=9/Y)18?\A&U_ZZI_,4=!?997JPG_`"#IO^NL
M?\GJO5A/^0=-_P!=8_Y/0QO8KU8O_P#D(W7_`%U?^9JO5B__`.0C=?\`75_Y
MFCJ/J%M_J+O_`*Y#_P!#6J]6+;_47?\`UR'_`*&M5Z$"ZEB]_P!>O_7*+_T!
M:++_`%[?]<I?_0&HO?\`7K_URB_]`6BR_P!>W_7*7_T!J.A/V2O5BY_U%I_U
MR/\`Z&U5ZL7/^HM/^N1_]#:@;Z!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZA
MU+#_`/(.A_ZZR?R2J]6'_P"0=#_UUD_DE5Z$$=BQ?_\`(1NO^NK_`,S0G_(.
MF_ZZQ_R>B_\`^0C=?]=7_F:$_P"0=-_UUC_D]'07V45ZL7O^O7_KE%_Z`M5Z
ML7O^O7_KE%_Z`M'4KJ%M_J+O_KD/_0UJO5BV_P!1=_\`7(?^AK5>A`MV6+G_
M`%%I_P!<C_Z&U%E_KV_ZY2_^@-1<_P"HM/\`KD?_`$-J++_7M_URE_\`0&HZ
M$_997JP__(.A_P"NLG\DJO5A_P#D'0_]=9/Y)0-]`L/^0C:_]=4_F*KU8L/^
M0C:_]=4_F*KT=0ZEA/\`D'3?]=8_Y/5>K"?\@Z;_`*ZQ_P`GJO0AKJ6+_P#Y
M"-U_UU?^9HMO]1=_]<A_Z&M%_P#\A&Z_ZZO_`#-%M_J+O_KD/_0UHZ$_917J
MQ>_Z]?\`KE%_Z`M5ZL7O^O7_`*Y1?^@+1U*ZA9?Z]O\`KE+_`.@-5>K%E_KV
M_P"N4O\`Z`U5Z.HNI8N?]1:?]<C_`.AM18?\A&U_ZZI_,47/^HM/^N1_]#:B
MP_Y"-K_UU3^8HZ"^RRO5A_\`D'0_]=9/Y)5>K#_\@Z'_`*ZR?R2@;Z%>K%__
M`,A&Z_ZZO_,U7JQ?_P#(1NO^NK_S-'4?4$_Y!TW_`%UC_D]5ZL)_R#IO^NL?
M\GJO0@74L7O^O7_KE%_Z`M%M_J+O_KD/_0UHO?\`7K_URB_]`6BV_P!1=_\`
M7(?^AK1T)^RBO5BY_P!1:?\`7(_^AM5>K%S_`*BT_P"N1_\`0VH8WN@LO]>W
M_7*7_P!`:J]6++_7M_URE_\`0&JO1U#J6'_Y!T/_`%UD_DE5ZL/_`,@Z'_KK
M)_)*KT(([&QXL_Y'+7/^PA/_`.C&K'K8\6?\CEKG_80G_P#1C5CU3W(H?PH^
MB"K%S_J+3_KD?_0VJO5BY_U%I_UR/_H;5++>Z"P_Y"-K_P!=4_F*KU8L/^0C
M:_\`75/YBJ]'4.I8?_D'0_\`763^257JP_\`R#H?^NLG\DJO0@CL6+__`)"-
MU_UU?^9H3_D'3?\`76/^3T7_`/R$;K_KJ_\`,T)_R#IO^NL?\GHZ"^RBO5B]
M_P!>O_7*+_T!:KU8O?\`7K_URB_]`6CJ5U"V_P!1=_\`7(?^AK5>K%M_J+O_
M`*Y#_P!#6J]"!;LL7/\`J+3_`*Y'_P!#:BR_U[?]<I?_`$!J+G_46G_7(_\`
MH;467^O;_KE+_P"@-1T)^RRO5A_^0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2@;Z!
M8?\`(1M?^NJ?S%5ZL6'_`"$;7_KJG\Q5>CJ'4L)_R#IO^NL?\GJO5A/^0=-_
MUUC_`)/5>A#74L7_`/R$;K_KJ_\`,T6W^HN_^N0_]#6B_P#^0C=?]=7_`)FB
MV_U%W_UR'_H:T="?LHKU8O?]>O\`URB_]`6J]6+W_7K_`-<HO_0%HZE=0LO]
M>W_7*7_T!JKU8LO]>W_7*7_T!JKT=1=2Q<_ZBT_ZY'_T-J+#_D(VO_75/YBB
MY_U%I_UR/_H;46'_`"$;7_KJG\Q1T%]EE>K#_P#(.A_ZZR?R2J]6'_Y!T/\`
MUUD_DE`WT*]6+_\`Y"-U_P!=7_F:KU8O_P#D(W7_`%U?^9HZCZ@G_(.F_P"N
ML?\`)ZKU83_D'3?]=8_Y/5>A`NI8O?\`7K_URB_]`6BV_P!1=_\`7(?^AK1>
M_P"O7_KE%_Z`M%M_J+O_`*Y#_P!#6CH3]E%>K%S_`*BT_P"N1_\`0VJO5BY_
MU%I_UR/_`*&U#&]T%E_KV_ZY2_\`H#57JQ9?Z]O^N4O_`*`U5Z.H=2P__(.A
M_P"NLG\DHL/^0C:_]=4_F*'_`.0=#_UUD_DE%A_R$;7_`*ZI_,4=!?997JPG
M_(.F_P"NL?\`)ZKU83_D'3?]=8_Y/0QO8KU8O_\`D(W7_75_YFJ]6+__`)"-
MU_UU?^9HZCZA;?ZB[_ZY#_T-:KU8MO\`47?_`%R'_H:U7H0+J6+W_7K_`-<H
MO_0%HLO]>W_7*7_T!J+W_7K_`-<HO_0%HLO]>W_7*7_T!J.A/V2O5BY_U%I_
MUR/_`*&U5ZL7/^HM/^N1_P#0VH&^@6'_`"$;7_KJG\Q5>K%A_P`A&U_ZZI_,
M57HZAU+#_P#(.A_ZZR?R2J]6'_Y!T/\`UUD_DE5Z$$=BQ?\`_(1NO^NK_P`S
M0G_(.F_ZZQ_R>B__`.0C=?\`75_YFA/^0=-_UUC_`)/1T%]E%>K%[_KU_P"N
M47_H"U7JQ>_Z]?\`KE%_Z`M'4KJ%M_J+O_KD/_0UJO5BV_U%W_UR'_H:U7H0
M+=EBY_U%I_UR/_H;467^O;_KE+_Z`U%S_J+3_KD?_0VHLO\`7M_URE_]`:CH
M3]EE>K#_`/(.A_ZZR?R2J]6'_P"0=#_UUD_DE`WT"P_Y"-K_`-=4_F*KU8L/
M^0C:_P#75/YBJ]'4.I83_D'3?]=8_P"3U7JPG_(.F_ZZQ_R>J]"&NI8O_P#D
M(W7_`%U?^9HMO]1=_P#7(?\`H:T7_P#R$;K_`*ZO_,T6W^HN_P#KD/\`T-:.
MA/V45ZL7O^O7_KE%_P"@+5>K%[_KU_ZY1?\`H"T=2NH67^O;_KE+_P"@-5>K
M%E_KV_ZY2_\`H#57HZBZEBY_U%I_UR/_`*&U%A_R$;7_`*ZI_,47/^HM/^N1
M_P#0VHL/^0C:_P#75/YBCH+[+*]6'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)_)*!
MOH5ZL7__`"$;K_KJ_P#,U7JQ?_\`(1NO^NK_`,S1U'U!/^0=-_UUC_D]5ZL)
M_P`@Z;_KK'_)ZKT(%U+%[_KU_P"N47_H"T6W^HN_^N0_]#6B]_UZ_P#7*+_T
M!:+;_47?_7(?^AK1T)^RBO5BY_U%I_UR/_H;57JQ<_ZBT_ZY'_T-J&-[H++_
M`%[?]<I?_0&JO5BR_P!>W_7*7_T!JKT=0ZEA_P#D'0_]=9/Y)5>K#_\`(.A_
MZZR?R2J]"".QL>+/^1RUS_L(3_\`HQJQZV/%G_(Y:Y_V$)__`$8U8]4]R*'\
M*/H@JQ<_ZBT_ZY'_`-#:J]6+G_46G_7(_P#H;5++>Z"P_P"0C:_]=4_F*KU8
ML/\`D(VO_75/YBJ]'4.I8?\`Y!T/_763^257JP__`"#H?^NLG\DJO0@CL6+_
M`/Y"-U_UU?\`F:$_Y!TW_76/^3T7_P#R$;K_`*ZO_,T)_P`@Z;_KK'_)Z.@O
MLHKU8O?]>O\`URB_]`6J]6+W_7K_`-<HO_0%HZE=0MO]1=_]<A_Z&M5ZL6W^
MHN_^N0_]#6J]"!;LL7/^HM/^N1_]#:BR_P!>W_7*7_T!J+G_`%%I_P!<C_Z&
MU%E_KV_ZY2_^@-1T)^RRO5A_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2@;Z!8?\
MA&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+"?\`(.F_ZZQ_R>J]6$_Y!TW_`%UC
M_D]5Z$-=2Q?_`/(1NO\`KJ_\S1;?ZB[_`.N0_P#0UHO_`/D(W7_75_YFBV_U
M%W_UR'_H:T="?LHKU8O?]>O_`%RB_P#0%JO5B]_UZ_\`7*+_`-`6CJ5U"R_U
M[?\`7*7_`-`:J]6++_7M_P!<I?\`T!JKT=1=2Q<_ZBT_ZY'_`-#:BP_Y"-K_
M`-=4_F*+G_46G_7(_P#H;46'_(1M?^NJ?S%'07V65ZL/_P`@Z'_KK)_)*KU8
M?_D'0_\`763^24#?0KU8O_\`D(W7_75_YFJ]6+__`)"-U_UU?^9HZCZ@G_(.
MF_ZZQ_R>J]6$_P"0=-_UUC_D]5Z$"ZEB]_UZ_P#7*+_T!:+;_47?_7(?^AK1
M>_Z]?^N47_H"T6W^HN_^N0_]#6CH3]E%>K%S_J+3_KD?_0VJO5BY_P!1:?\`
M7(_^AM0QO=!9?Z]O^N4O_H#57JQ9?Z]O^N4O_H#57HZAU+#_`/(.A_ZZR?R2
MBP_Y"-K_`-=4_F*'_P"0=#_UUD_DE%A_R$;7_KJG\Q1T%]EE>K"?\@Z;_KK'
M_)ZKU83_`)!TW_76/^3T,;V*]6+_`/Y"-U_UU?\`F:KU8O\`_D(W7_75_P"9
MHZCZA;?ZB[_ZY#_T-:KU8MO]1=_]<A_Z&M5Z$"ZEB]_UZ_\`7*+_`-`6BR_U
M[?\`7*7_`-`:B]_UZ_\`7*+_`-`6BR_U[?\`7*7_`-`:CH3]DKU8N?\`46G_
M`%R/_H;57JQ<_P"HM/\`KD?_`$-J!OH%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q
M5>CJ'4L/_P`@Z'_KK)_)*KU8?_D'0_\`763^257H01V+%_\`\A&Z_P"NK_S-
M"?\`(.F_ZZQ_R>B__P"0C=?]=7_F:$_Y!TW_`%UC_D]'07V45ZL7O^O7_KE%
M_P"@+5>K%[_KU_ZY1?\`H"T=2NH6W^HN_P#KD/\`T-:KU8MO]1=_]<A_Z&M5
MZ$"W98N?]1:?]<C_`.AM19?Z]O\`KE+_`.@-1<_ZBT_ZY'_T-J++_7M_URE_
M]`:CH3]EE>K#_P#(.A_ZZR?R2J]6'_Y!T/\`UUD_DE`WT"P_Y"-K_P!=4_F*
MKU8L/^0C:_\`75/YBJ]'4.I83_D'3?\`76/^3U7JPG_(.F_ZZQ_R>J]"&NI8
MO_\`D(W7_75_YFBV_P!1=_\`7(?^AK1?_P#(1NO^NK_S-%M_J+O_`*Y#_P!#
M6CH3]E%>K%[_`*]?^N47_H"U7JQ>_P"O7_KE%_Z`M'4KJ%E_KV_ZY2_^@-5>
MK%E_KV_ZY2_^@-5>CJ+J6+G_`%%I_P!<C_Z&U%A_R$;7_KJG\Q1<_P"HM/\`
MKD?_`$-J+#_D(VO_`%U3^8HZ"^RRO5A_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R
M2@;Z%>K%_P#\A&Z_ZZO_`#-5ZL7_`/R$;K_KJ_\`,T=1]03_`)!TW_76/^3U
M7JPG_(.F_P"NL?\`)ZKT(%U+%[_KU_ZY1?\`H"T6W^HN_P#KD/\`T-:+W_7K
M_P!<HO\`T!:+;_47?_7(?^AK1T)^RBO5BY_U%I_UR/\`Z&U5ZL7/^HM/^N1_
M]#:AC>Z"R_U[?]<I?_0&JO5BR_U[?]<I?_0&JO1U#J6'_P"0=#_UUD_DE5ZL
M/_R#H?\`KK)_)*KT(([&QXL_Y'+7/^PA/_Z,:L>MCQ9_R.6N?]A"?_T8U8]4
M]R*'\*/H@JQ<_P"HM/\`KD?_`$-JKU8N?]1:?]<C_P"AM4LM[H+#_D(VO_75
M/YBJ]6+#_D(VO_75/YBJ]'4.I8?_`)!T/_763^257JP__(.A_P"NLG\DJO0@
MCL6+_P#Y"-U_UU?^9H3_`)!TW_76/^3T7_\`R$;K_KJ_\S0G_(.F_P"NL?\`
M)Z.@OLHKU8O?]>O_`%RB_P#0%JO5B]_UZ_\`7*+_`-`6CJ5U"V_U%W_UR'_H
M:U7JQ;?ZB[_ZY#_T-:KT(%NRQ<_ZBT_ZY'_T-J++_7M_URE_]`:BY_U%I_UR
M/_H;467^O;_KE+_Z`U'0G[+*]6'_`.0=#_UUD_DE5ZL/_P`@Z'_KK)_)*!OH
M%A_R$;7_`*ZI_,57JQ8?\A&U_P"NJ?S%5Z.H=2PG_(.F_P"NL?\`)ZKU83_D
M'3?]=8_Y/5>A#74L7_\`R$;K_KJ_\S1;?ZB[_P"N0_\`0UHO_P#D(W7_`%U?
M^9HMO]1=_P#7(?\`H:T="?LHKU8O?]>O_7*+_P!`6J]6+W_7K_URB_\`0%HZ
ME=0LO]>W_7*7_P!`:J]6++_7M_URE_\`0&JO1U%U+%S_`*BT_P"N1_\`0VHL
M/^0C:_\`75/YBBY_U%I_UR/_`*&U%A_R$;7_`*ZI_,4=!?997JP__(.A_P"N
MLG\DJO5A_P#D'0_]=9/Y)0-]"O5B_P#^0C=?]=7_`)FJ]6+_`/Y"-U_UU?\`
MF:.H^H)_R#IO^NL?\GJO5A/^0=-_UUC_`)/5>A`NI8O?]>O_`%RB_P#0%HMO
M]1=_]<A_Z&M%[_KU_P"N47_H"T6W^HN_^N0_]#6CH3]E%>K%S_J+3_KD?_0V
MJO5BY_U%I_UR/_H;4,;W067^O;_KE+_Z`U5ZL67^O;_KE+_Z`U5Z.H=2P_\`
MR#H?^NLG\DHL/^0C:_\`75/YBA_^0=#_`-=9/Y)18?\`(1M?^NJ?S%'07V65
MZL)_R#IO^NL?\GJO5A/^0=-_UUC_`)/0QO8KU8O_`/D(W7_75_YFJ]6+_P#Y
M"-U_UU?^9HZCZA;?ZB[_`.N0_P#0UJO5BV_U%W_UR'_H:U7H0+J6+W_7K_UR
MB_\`0%HLO]>W_7*7_P!`:B]_UZ_]<HO_`$!:++_7M_URE_\`0&HZ$_9*]6+G
M_46G_7(_^AM5>K%S_J+3_KD?_0VH&^@6'_(1M?\`KJG\Q5>K%A_R$;7_`*ZI
M_,57HZAU+#_\@Z'_`*ZR?R2J]6'_`.0=#_UUD_DE5Z$$=BQ?_P#(1NO^NK_S
M-"?\@Z;_`*ZQ_P`GHO\`_D(W7_75_P"9H3_D'3?]=8_Y/1T%]E%>K%[_`*]?
M^N47_H"U7JQ>_P"O7_KE%_Z`M'4KJ%M_J+O_`*Y#_P!#6J]6+;_47?\`UR'_
M`*&M5Z$"W98N?]1:?]<C_P"AM19?Z]O^N4O_`*`U%S_J+3_KD?\`T-J++_7M
M_P!<I?\`T!J.A/V65ZL/_P`@Z'_KK)_)*KU8?_D'0_\`763^24#?0+#_`)"-
MK_UU3^8JO5BP_P"0C:_]=4_F*KT=0ZEA/^0=-_UUC_D]5ZL)_P`@Z;_KK'_)
MZKT(:ZEB_P#^0C=?]=7_`)FBV_U%W_UR'_H:T7__`"$;K_KJ_P#,T6W^HN_^
MN0_]#6CH3]E%>K%[_KU_ZY1?^@+5>K%[_KU_ZY1?^@+1U*ZA9?Z]O^N4O_H#
M57JQ9?Z]O^N4O_H#57HZBZEBY_U%I_UR/_H;46'_`"$;7_KJG\Q1<_ZBT_ZY
M'_T-J+#_`)"-K_UU3^8HZ"^RRO5A_P#D'0_]=9/Y)5>K#_\`(.A_ZZR?R2@;
MZ%>K%_\`\A&Z_P"NK_S-5ZL7_P#R$;K_`*ZO_,T=1]03_D'3?]=8_P"3U7JP
MG_(.F_ZZQ_R>J]"!=2Q>_P"O7_KE%_Z`M%M_J+O_`*Y#_P!#6B]_UZ_]<HO_
M`$!:+;_47?\`UR'_`*&M'0G[**]6+G_46G_7(_\`H;57JQ<_ZBT_ZY'_`-#:
MAC>Z"R_U[?\`7*7_`-`:J]6++_7M_P!<I?\`T!JKT=0ZEA_^0=#_`-=9/Y)5
M>K#_`/(.A_ZZR?R2J]"".QL>+/\`D<M<_P"PA/\`^C&K'K8\6?\`(Y:Y_P!A
M"?\`]&-6/5/<BA_"CZ(*L7/^HM/^N1_]#:J]6+G_`%%I_P!<C_Z&U2RWN@L/
M^0C:_P#75/YBJ]6+#_D(VO\`UU3^8JO1U#J6'_Y!T/\`UUD_DE5ZL/\`\@Z'
M_KK)_)*KT(([%B__`.0C=?\`75_YFA/^0=-_UUC_`)/1?_\`(1NO^NK_`,S0
MG_(.F_ZZQ_R>CH+[**]6+W_7K_URB_\`0%JO5B]_UZ_]<HO_`$!:.I74+;_4
M7?\`UR'_`*&M5ZL6W^HN_P#KD/\`T-:KT(%NRQ<_ZBT_ZY'_`-#:BR_U[?\`
M7*7_`-`:BY_U%I_UR/\`Z&U%E_KV_P"N4O\`Z`U'0G[+*]6'_P"0=#_UUD_D
ME5ZL/_R#H?\`KK)_)*!OH%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L)_R
M#IO^NL?\GJO5A/\`D'3?]=8_Y/5>A#74L7__`"$;K_KJ_P#,T6W^HN_^N0_]
M#6B__P"0C=?]=7_F:+;_`%%W_P!<A_Z&M'0G[**]6+W_`%Z_]<HO_0%JO5B]
M_P!>O_7*+_T!:.I74++_`%[?]<I?_0&JO5BR_P!>W_7*7_T!JKT=1=2Q<_ZB
MT_ZY'_T-J+#_`)"-K_UU3^8HN?\`46G_`%R/_H;46'_(1M?^NJ?S%'07V65Z
ML/\`\@Z'_KK)_)*KU8?_`)!T/_763^24#?0KU8O_`/D(W7_75_YFJ]6+_P#Y
M"-U_UU?^9HZCZ@G_`"#IO^NL?\GJO5A/^0=-_P!=8_Y/5>A`NI8O?]>O_7*+
M_P!`6BV_U%W_`-<A_P"AK1>_Z]?^N47_`*`M%M_J+O\`ZY#_`-#6CH3]E%>K
M%S_J+3_KD?\`T-JKU8N?]1:?]<C_`.AM0QO=!9?Z]O\`KE+_`.@-5>K%E_KV
M_P"N4O\`Z`U5Z.H=2P__`"#H?^NLG\DHL/\`D(VO_75/YBA_^0=#_P!=9/Y)
M18?\A&U_ZZI_,4=!?997JPG_`"#IO^NL?\GJO5A/^0=-_P!=8_Y/0QO8KU8O
M_P#D(W7_`%U?^9JO5B__`.0C=?\`75_YFCJ/J%M_J+O_`*Y#_P!#6J]6+;_4
M7?\`UR'_`*&M5Z$"ZEB]_P!>O_7*+_T!:++_`%[?]<I?_0&HO?\`7K_URB_]
M`6BR_P!>W_7*7_T!J.A/V2O5BY_U%I_UR/\`Z&U5ZL7/^HM/^N1_]#:@;Z!8
M?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+#_`/(.A_ZZR?R2J]6'_P"0=#_U
MUD_DE5Z$$=BQ?_\`(1NO^NK_`,S0G_(.F_ZZQ_R>B_\`^0C=?]=7_F:$_P"0
M=-_UUC_D]'07V45ZL7O^O7_KE%_Z`M5ZL7O^O7_KE%_Z`M'4KJ%M_J+O_KD/
M_0UJO5BV_P!1=_\`7(?^AK5>A`MV6+G_`%%I_P!<C_Z&U%E_KV_ZY2_^@-1<
M_P"HM/\`KD?_`$-J++_7M_URE_\`0&HZ$_997JP__(.A_P"NLG\DJO5A_P#D
M'0_]=9/Y)0-]`L/^0C:_]=4_F*KU8L/^0C:_]=4_F*KT=0ZEA/\`D'3?]=8_
MY/5>K"?\@Z;_`*ZQ_P`GJO0AKJ6+_P#Y"-U_UU?^9HMO]1=_]<A_Z&M%_P#\
MA&Z_ZZO_`#-%M_J+O_KD/_0UHZ$_917JQ>_Z]?\`KE%_Z`M5ZL7O^O7_`*Y1
M?^@+1U*ZA9?Z]O\`KE+_`.@-5>K%E_KV_P"N4O\`Z`U5Z.HNI8N?]1:?]<C_
M`.AM18?\A&U_ZZI_,47/^HM/^N1_]#:BP_Y"-K_UU3^8HZ"^RRO5A_\`D'0_
M]=9/Y)5>K#_\@Z'_`*ZR?R2@;Z%>K%__`,A&Z_ZZO_,U7JQ?_P#(1NO^NK_S
M-'4?4$_Y!TW_`%UC_D]5ZL)_R#IO^NL?\GJO0@74L7O^O7_KE%_Z`M%M_J+O
M_KD/_0UHO?\`7K_URB_]`6BV_P!1=_\`7(?^AK1T)^RBO5BY_P!1:?\`7(_^
MAM5>K%S_`*BT_P"N1_\`0VH8WN@LO]>W_7*7_P!`:J]6++_7M_URE_\`0&JO
M1U#J6'_Y!T/_`%UD_DE5ZL/_`,@Z'_KK)_)*KT(([&QXL_Y'+7/^PA/_`.C&
MK'K8\6?\CEKG_80G_P#1C5CU3W(H?PH^B"K%S_J+3_KD?_0VJO5BY_U%I_UR
M/_H;5++>Z"P_Y"-K_P!=4_F*KU8L/^0C:_\`75/YBJ]'4.I8?_D'0_\`763^
M257JP_\`R#H?^NLG\DJO0@CL6+__`)"-U_UU?^9H3_D'3?\`76/^3T7_`/R$
M;K_KJ_\`,T)_R#IO^NL?\GHZ"^RBO5B]_P!>O_7*+_T!:KU8O?\`7K_URB_]
M`6CJ5U"V_P!1=_\`7(?^AK5>K%M_J+O_`*Y#_P!#6J]"!;LL7/\`J+3_`*Y'
M_P!#:BR_U[?]<I?_`$!J+G_46G_7(_\`H;467^O;_KE+_P"@-1T)^RRO5A_^
M0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2@;Z!8?\`(1M?^NJ?S%5ZL6'_`"$;7_KJ
MG\Q5>CJ'4L)_R#IO^NL?\GJO5A/^0=-_UUC_`)/5>A#74L7_`/R$;K_KJ_\`
M,T6W^HN_^N0_]#6B_P#^0C=?]=7_`)FBV_U%W_UR'_H:T="?LHKU8O?]>O\`
MURB_]`6J]6+W_7K_`-<HO_0%HZE=0LO]>W_7*7_T!JKU8LO]>W_7*7_T!JKT
M=1=2Q<_ZBT_ZY'_T-J+#_D(VO_75/YBBY_U%I_UR/_H;46'_`"$;7_KJG\Q1
MT%]EE>K#_P#(.A_ZZR?R2J]6'_Y!T/\`UUD_DE`WT*]6+_\`Y"-U_P!=7_F:
MKU8O_P#D(W7_`%U?^9HZCZ@G_(.F_P"NL?\`)ZKU83_D'3?]=8_Y/5>A`NI8
MO?\`7K_URB_]`6BV_P!1=_\`7(?^AK1>_P"O7_KE%_Z`M%M_J+O_`*Y#_P!#
M6CH3]E%>K%S_`*BT_P"N1_\`0VJO5BY_U%I_UR/_`*&U#&]T%E_KV_ZY2_\`
MH#57JQ9?Z]O^N4O_`*`U5Z.H=2P__(.A_P"NLG\DHL/^0C:_]=4_F*'_`.0=
M#_UUD_DE%A_R$;7_`*ZI_,4=!?997JPG_(.F_P"NL?\`)ZKU83_D'3?]=8_Y
M/0QO8KU8O_\`D(W7_75_YFJ]6+__`)"-U_UU?^9HZCZA;?ZB[_ZY#_T-:KU8
MMO\`47?_`%R'_H:U7H0+J6+W_7K_`-<HO_0%HLO]>W_7*7_T!J+W_7K_`-<H
MO_0%HLO]>W_7*7_T!J.A/V2O5BY_U%I_UR/_`*&U5ZL7/^HM/^N1_P#0VH&^
M@6'_`"$;7_KJG\Q5>K%A_P`A&U_ZZI_,57HZAU+#_P#(.A_ZZR?R2J]6'_Y!
MT/\`UUD_DE5Z$$=BQ?\`_(1NO^NK_P`S0G_(.F_ZZQ_R>B__`.0C=?\`75_Y
MFA/^0=-_UUC_`)/1T%]E%>K%[_KU_P"N47_H"U7JQ>_Z]?\`KE%_Z`M'4KJ%
MM_J+O_KD/_0UJO5BV_U%W_UR'_H:U7H0+=EBY_U%I_UR/_H;467^O;_KE+_Z
M`U%S_J+3_KD?_0VHLO\`7M_URE_]`:CH3]EE>K#_`/(.A_ZZR?R2J]6'_P"0
M=#_UUD_DE`WT"P_Y"-K_`-=4_F*KU8L/^0C:_P#75/YBJ]'4.I83_D'3?]=8
M_P"3U7JPG_(.F_ZZQ_R>J]"&NI8O_P#D(W7_`%U?^9HMO]1=_P#7(?\`H:T7
M_P#R$;K_`*ZO_,T6W^HN_P#KD/\`T-:.A/V45ZL7O^O7_KE%_P"@+5>K%[_K
MU_ZY1?\`H"T=2NH67^O;_KE+_P"@-5>K%E_KV_ZY2_\`H#57HZBZEBY_U%I_
MUR/_`*&U%A_R$;7_`*ZI_,47/^HM/^N1_P#0VHL/^0C:_P#75/YBCH+[+*]6
M'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)_)*!OH5ZL7__`"$;K_KJ_P#,U7JQ?_\`
M(1NO^NK_`,S1U'U!/^0=-_UUC_D]5ZL)_P`@Z;_KK'_)ZKT(%U+%[_KU_P"N
M47_H"T6W^HN_^N0_]#6B]_UZ_P#7*+_T!:+;_47?_7(?^AK1T)^RBO5BY_U%
MI_UR/_H;57JQ<_ZBT_ZY'_T-J&-[H++_`%[?]<I?_0&JO5BR_P!>W_7*7_T!
MJKT=0ZEA_P#D'0_]=9/Y)5>K#_\`(.A_ZZR?R2J]"".QL>+/^1RUS_L(3_\`
MHQJQZV/%G_(Y:Y_V$)__`$8U8]4]R*'\*/H@JQ<_ZBT_ZY'_`-#:J]6+G_46
MG_7(_P#H;5++>Z"P_P"0C:_]=4_F*KU8L/\`D(VO_75/YBJ]'4.I8?\`Y!T/
M_763^257JP__`"#H?^NLG\DJO0@CL6+_`/Y"-U_UU?\`F:$_Y!TW_76/^3T7
M_P#R$;K_`*ZO_,T)_P`@Z;_KK'_)Z.@OLHKU8O?]>O\`URB_]`6J]6+W_7K_
M`-<HO_0%HZE=0MO]1=_]<A_Z&M5ZL6W^HN_^N0_]#6J]"!;LL7/^HM/^N1_]
M#:BR_P!>W_7*7_T!J+G_`%%I_P!<C_Z&U%E_KV_ZY2_^@-1T)^RRO5A_^0=#
M_P!=9/Y)5>K#_P#(.A_ZZR?R2@;Z!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57H
MZAU+"?\`(.F_ZZQ_R>J]6$_Y!TW_`%UC_D]5Z$-=2Q?_`/(1NO\`KJ_\S1;?
MZB[_`.N0_P#0UHO_`/D(W7_75_YFBV_U%W_UR'_H:T="?LHKU8O?]>O_`%RB
M_P#0%JO5B]_UZ_\`7*+_`-`6CJ5U"R_U[?\`7*7_`-`:J]6++_7M_P!<I?\`
MT!JKT=1=2Q<_ZBT_ZY'_`-#:BP_Y"-K_`-=4_F*+G_46G_7(_P#H;46'_(1M
M?^NJ?S%'07V65ZL/_P`@Z'_KK)_)*KU8?_D'0_\`763^24#?0KU8O_\`D(W7
M_75_YFJ]6+__`)"-U_UU?^9HZCZ@G_(.F_ZZQ_R>J]6$_P"0=-_UUC_D]5Z$
M"ZEB]_UZ_P#7*+_T!:+;_47?_7(?^AK1>_Z]?^N47_H"T6W^HN_^N0_]#6CH
M3]E%>K%S_J+3_KD?_0VJO5BY_P!1:?\`7(_^AM0QO=!9?Z]O^N4O_H#57JQ9
M?Z]O^N4O_H#57HZAU+#_`/(.A_ZZR?R2BP_Y"-K_`-=4_F*'_P"0=#_UUD_D
ME%A_R$;7_KJG\Q1T%]EE>K"?\@Z;_KK'_)ZKU83_`)!TW_76/^3T,;V*]6+_
M`/Y"-U_UU?\`F:KU8O\`_D(W7_75_P"9HZCZA;?ZB[_ZY#_T-:KU8MO]1=_]
M<A_Z&M5Z$"ZEB]_UZ_\`7*+_`-`6BR_U[?\`7*7_`-`:B]_UZ_\`7*+_`-`6
MBR_U[?\`7*7_`-`:CH3]DKU8N?\`46G_`%R/_H;57JQ<_P"HM/\`KD?_`$-J
M!OH%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L/_P`@Z'_KK)_)*KU8?_D'
M0_\`763^257H01V+%_\`\A&Z_P"NK_S-"?\`(.F_ZZQ_R>B__P"0C=?]=7_F
M:$_Y!TW_`%UC_D]'07V45ZL7O^O7_KE%_P"@+5>K%[_KU_ZY1?\`H"T=2NH6
MW^HN_P#KD/\`T-:KU8MO]1=_]<A_Z&M5Z$"W98N?]1:?]<C_`.AM19?Z]O\`
MKE+_`.@-1<_ZBT_ZY'_T-J++_7M_URE_]`:CH3]EE>K#_P#(.A_ZZR?R2J]6
M'_Y!T/\`UUD_DE`WT"P_Y"-K_P!=4_F*KU8L/^0C:_\`75/YBJ]'4.I83_D'
M3?\`76/^3U7JPG_(.F_ZZQ_R>J]"&NI8O_\`D(W7_75_YFBV_P!1=_\`7(?^
MAK1?_P#(1NO^NK_S-%M_J+O_`*Y#_P!#6CH3]E%>K%[_`*]?^N47_H"U7JQ>
M_P"O7_KE%_Z`M'4KJ%E_KV_ZY2_^@-5>K%E_KV_ZY2_^@-5>CJ+J6+G_`%%I
M_P!<C_Z&U%A_R$;7_KJG\Q1<_P"HM/\`KD?_`$-J+#_D(VO_`%U3^8HZ"^RR
MO5A_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2@;Z%>K%_P#\A&Z_ZZO_`#-5ZL7_
M`/R$;K_KJ_\`,T=1]03_`)!TW_76/^3U7JPG_(.F_P"NL?\`)ZKT(%U+%[_K
MU_ZY1?\`H"T6W^HN_P#KD/\`T-:+W_7K_P!<HO\`T!:+;_47?_7(?^AK1T)^
MRBO5BY_U%I_UR/\`Z&U5ZL7/^HM/^N1_]#:AC>Z"R_U[?]<I?_0&JO5BR_U[
M?]<I?_0&JO1U#J6'_P"0=#_UUD_DE5ZL/_R#H?\`KK)_)*KT(([&QXL_Y'+7
M/^PA/_Z,:L>MCQ9_R.6N?]A"?_T8U8]4]R*'\*/H@JQ<_P"HM/\`KD?_`$-J
MKU8N?]1:?]<C_P"AM4LM[H+#_D(VO_75/YBJ]6+#_D(VO_75/YBJ]'4.I8?_
M`)!T/_763^257JP__(.A_P"NLG\DJO0@CL6+_P#Y"-U_UU?^9H3_`)!TW_76
M/^3T7_\`R$;K_KJ_\S0G_(.F_P"NL?\`)Z.@OLHKU8O?]>O_`%RB_P#0%JO5
MB]_UZ_\`7*+_`-`6CJ5U"V_U%W_UR'_H:U7JQ;?ZB[_ZY#_T-:KT(%NRQ<_Z
MBT_ZY'_T-J++_7M_URE_]`:BY_U%I_UR/_H;467^O;_KE+_Z`U'0G[+*]6'_
M`.0=#_UUD_DE5ZL/_P`@Z'_KK)_)*!OH%A_R$;7_`*ZI_,57JQ8?\A&U_P"N
MJ?S%5Z.H=2PG_(.F_P"NL?\`)ZKU83_D'3?]=8_Y/5>A#74L7_\`R$;K_KJ_
M\S1;?ZB[_P"N0_\`0UHO_P#D(W7_`%U?^9HMO]1=_P#7(?\`H:T="?LHKU8O
M?]>O_7*+_P!`6J]6+W_7K_URB_\`0%HZE=0LO]>W_7*7_P!`:J]6++_7M_UR
ME_\`0&JO1U%U+%S_`*BT_P"N1_\`0VHL/^0C:_\`75/YBBY_U%I_UR/_`*&U
M%A_R$;7_`*ZI_,4=!?997JP__(.A_P"NLG\DJO5A_P#D'0_]=9/Y)0-]"O5B
M_P#^0C=?]=7_`)FJ]6+_`/Y"-U_UU?\`F:.H^H)_R#IO^NL?\GJO5A/^0=-_
MUUC_`)/5>A`NI8O?]>O_`%RB_P#0%HMO]1=_]<A_Z&M%[_KU_P"N47_H"T6W
M^HN_^N0_]#6CH3]E%>K%S_J+3_KD?_0VJO5BY_U%I_UR/_H;4,;W067^O;_K
ME+_Z`U5ZL67^O;_KE+_Z`U5Z.H=2P_\`R#H?^NLG\DHL/^0C:_\`75/YBA_^
M0=#_`-=9/Y)18?\`(1M?^NJ?S%'07V65ZL)_R#IO^NL?\GJO5A/^0=-_UUC_
M`)/0QO8KU8O_`/D(W7_75_YFJ]6+_P#Y"-U_UU?^9HZCZA;?ZB[_`.N0_P#0
MUJO5BV_U%W_UR'_H:U7H0+J6+W_7K_URB_\`0%HLO]>W_7*7_P!`:B]_UZ_]
M<HO_`$!:++_7M_URE_\`0&HZ$_9*]6+G_46G_7(_^AM5>K%S_J+3_KD?_0VH
M&^@6'_(1M?\`KJG\Q5>K%A_R$;7_`*ZI_,57HZAU+#_\@Z'_`*ZR?R2J]6'_
M`.0=#_UUD_DE5Z$$=BQ?_P#(1NO^NK_S-"?\@Z;_`*ZQ_P`GHO\`_D(W7_75
M_P"9H3_D'3?]=8_Y/1T%]E%>K%[_`*]?^N47_H"U7JQ>_P"O7_KE%_Z`M'4K
MJ%M_J+O_`*Y#_P!#6J]6+;_47?\`UR'_`*&M5Z$"W98N?]1:?]<C_P"AM19?
MZ]O^N4O_`*`U%S_J+3_KD?\`T-J++_7M_P!<I?\`T!J.A/V65ZL/_P`@Z'_K
MK)_)*KU8?_D'0_\`763^24#?0+#_`)"-K_UU3^8JO5BP_P"0C:_]=4_F*KT=
M0ZEA/^0=-_UUC_D]5ZL)_P`@Z;_KK'_)ZKT(:ZEB_P#^0C=?]=7_`)FBV_U%
MW_UR'_H:T7__`"$;K_KJ_P#,T6W^HN_^N0_]#6CH3]E%>K%[_KU_ZY1?^@+5
M>K%[_KU_ZY1?^@+1U*ZA9?Z]O^N4O_H#57JQ9?Z]O^N4O_H#57HZBZEBY_U%
MI_UR/_H;46'_`"$;7_KJG\Q1<_ZBT_ZY'_T-J+#_`)"-K_UU3^8HZ"^RRO5A
M_P#D'0_]=9/Y)5>K#_\`(.A_ZZR?R2@;Z%>K%_\`\A&Z_P"NK_S-5ZL7_P#R
M$;K_`*ZO_,T=1]03_D'3?]=8_P"3U7JPG_(.F_ZZQ_R>J]"!=2Q>_P"O7_KE
M%_Z`M%M_J+O_`*Y#_P!#6B]_UZ_]<HO_`$!:+;_47?\`UR'_`*&M'0G[**]6
M+G_46G_7(_\`H;57JQ<_ZBT_ZY'_`-#:AC>Z"R_U[?\`7*7_`-`:J]6++_7M
M_P!<I?\`T!JKT=0ZEA_^0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2J]"".QL>+/\`
MD<M<_P"PA/\`^C&K'K8\6?\`(Y:Y_P!A"?\`]&-6/5/<BA_"CZ(*L7/^HM/^
MN1_]#:J]6+G_`%%I_P!<C_Z&U2RWN@L/^0C:_P#75/YBJ]6+#_D(VO\`UU3^
M8JO1U#J6'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)_)*KT(([%B__`.0C=?\`75_Y
MFA/^0=-_UUC_`)/1?_\`(1NO^NK_`,S0G_(.F_ZZQ_R>CH+[**]6+W_7K_UR
MB_\`0%JO5B]_UZ_]<HO_`$!:.I74+;_47?\`UR'_`*&M5ZL6W^HN_P#KD/\`
MT-:KT(%NRQ<_ZBT_ZY'_`-#:BR_U[?\`7*7_`-`:BY_U%I_UR/\`Z&U%E_KV
M_P"N4O\`Z`U'0G[+*]6'_P"0=#_UUD_DE5ZL/_R#H?\`KK)_)*!OH%A_R$;7
M_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L)_R#IO^NL?\GJO5A/\`D'3?]=8_Y/5>
MA#74L7__`"$;K_KJ_P#,T6W^HN_^N0_]#6B__P"0C=?]=7_F:+;_`%%W_P!<
MA_Z&M'0G[**]6+W_`%Z_]<HO_0%JO5B]_P!>O_7*+_T!:.I74++_`%[?]<I?
M_0&JO5BR_P!>W_7*7_T!JKT=1=2Q<_ZBT_ZY'_T-J+#_`)"-K_UU3^8HN?\`
M46G_`%R/_H;46'_(1M?^NJ?S%'07V65ZL/\`\@Z'_KK)_)*KU8?_`)!T/_76
M3^24#?0KU8O_`/D(W7_75_YFJ]6+_P#Y"-U_UU?^9HZCZ@G_`"#IO^NL?\GJ
MO5A/^0=-_P!=8_Y/5>A`NI8O?]>O_7*+_P!`6BV_U%W_`-<A_P"AK1>_Z]?^
MN47_`*`M%M_J+O\`ZY#_`-#6CH3]E%>K%S_J+3_KD?\`T-JKU8N?]1:?]<C_
M`.AM0QO=!9?Z]O\`KE+_`.@-5>K%E_KV_P"N4O\`Z`U5Z.H=2P__`"#H?^NL
MG\DHL/\`D(VO_75/YBA_^0=#_P!=9/Y)18?\A&U_ZZI_,4=!?997JPG_`"#I
MO^NL?\GJO5A/^0=-_P!=8_Y/0QO8KU8O_P#D(W7_`%U?^9JO5B__`.0C=?\`
M75_YFCJ/J%M_J+O_`*Y#_P!#6J]6+;_47?\`UR'_`*&M5Z$"ZEB]_P!>O_7*
M+_T!:++_`%[?]<I?_0&HO?\`7K_URB_]`6BR_P!>W_7*7_T!J.A/V2O5BY_U
M%I_UR/\`Z&U5ZL7/^HM/^N1_]#:@;Z!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,5
M7HZAU+#_`/(.A_ZZR?R2J]6'_P"0=#_UUD_DE5Z$$=BQ?_\`(1NO^NK_`,S0
MG_(.F_ZZQ_R>B_\`^0C=?]=7_F:$_P"0=-_UUC_D]'07V45ZL7O^O7_KE%_Z
M`M5ZL7O^O7_KE%_Z`M'4KJ%M_J+O_KD/_0UJO5BV_P!1=_\`7(?^AK5>A`MV
M6+G_`%%I_P!<C_Z&U%E_KV_ZY2_^@-1<_P"HM/\`KD?_`$-J++_7M_URE_\`
M0&HZ$_997JP__(.A_P"NLG\DJO5A_P#D'0_]=9/Y)0-]`L/^0C:_]=4_F*KU
M8L/^0C:_]=4_F*KT=0ZEA/\`D'3?]=8_Y/5>K"?\@Z;_`*ZQ_P`GJO0AKJ6+
M_P#Y"-U_UU?^9HMO]1=_]<A_Z&M%_P#\A&Z_ZZO_`#-%M_J+O_KD/_0UHZ$_
M917JQ>_Z]?\`KE%_Z`M5ZL7O^O7_`*Y1?^@+1U*ZA9?Z]O\`KE+_`.@-5>K%
ME_KV_P"N4O\`Z`U5Z.HNI8N?]1:?]<C_`.AM18?\A&U_ZZI_,47/^HM/^N1_
M]#:BP_Y"-K_UU3^8HZ"^RRO5A_\`D'0_]=9/Y)5>K#_\@Z'_`*ZR?R2@;Z%>
MK%__`,A&Z_ZZO_,U7JQ?_P#(1NO^NK_S-'4?4$_Y!TW_`%UC_D]5ZL)_R#IO
M^NL?\GJO0@74L7O^O7_KE%_Z`M%M_J+O_KD/_0UHO?\`7K_URB_]`6BV_P!1
M=_\`7(?^AK1T)^RBO5BY_P!1:?\`7(_^AM5>K%S_`*BT_P"N1_\`0VH8WN@L
MO]>W_7*7_P!`:J]6++_7M_URE_\`0&JO1U#J6'_Y!T/_`%UD_DE5ZL/_`,@Z
M'_KK)_)*KT(([&QXL_Y'+7/^PA/_`.C&K'K8\6?\CEKG_80G_P#1C5CU3W(H
M?PH^B"K%S_J+3_KD?_0VJO5BY_U%I_UR/_H;5++>Z"P_Y"-K_P!=4_F*KU8L
M/^0C:_\`75/YBJ]'4.I8?_D'0_\`763^257JP_\`R#H?^NLG\DJO0@CL6+__
M`)"-U_UU?^9H3_D'3?\`76/^3T7_`/R$;K_KJ_\`,T)_R#IO^NL?\GHZ"^RB
MO5B]_P!>O_7*+_T!:KU8O?\`7K_URB_]`6CJ5U"V_P!1=_\`7(?^AK5>K%M_
MJ+O_`*Y#_P!#6J]"!;LL7/\`J+3_`*Y'_P!#:BR_U[?]<I?_`$!J+G_46G_7
M(_\`H;467^O;_KE+_P"@-1T)^RRO5A_^0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2
M@;Z!8?\`(1M?^NJ?S%5ZL6'_`"$;7_KJG\Q5>CJ'4L)_R#IO^NL?\GJO5A/^
M0=-_UUC_`)/5>A#74L7_`/R$;K_KJ_\`,T6W^HN_^N0_]#6B_P#^0C=?]=7_
M`)FBV_U%W_UR'_H:T="?LHKU8O?]>O\`URB_]`6J]6+W_7K_`-<HO_0%HZE=
M0LO]>W_7*7_T!JKU8LO]>W_7*7_T!JKT=1=2Q<_ZBT_ZY'_T-J+#_D(VO_75
M/YBBY_U%I_UR/_H;46'_`"$;7_KJG\Q1T%]EE>K#_P#(.A_ZZR?R2J]6'_Y!
MT/\`UUD_DE`WT*]6+_\`Y"-U_P!=7_F:KU8O_P#D(W7_`%U?^9HZCZ@G_(.F
M_P"NL?\`)ZKU83_D'3?]=8_Y/5>A`NI8O?\`7K_URB_]`6BV_P!1=_\`7(?^
MAK1>_P"O7_KE%_Z`M%M_J+O_`*Y#_P!#6CH3]E%>K%S_`*BT_P"N1_\`0VJO
M5BY_U%I_UR/_`*&U#&]T%E_KV_ZY2_\`H#57JQ9?Z]O^N4O_`*`U5Z.H=2P_
M_(.A_P"NLG\DHL/^0C:_]=4_F*'_`.0=#_UUD_DE%A_R$;7_`*ZI_,4=!?99
M7JPG_(.F_P"NL?\`)ZKU83_D'3?]=8_Y/0QO8KU8O_\`D(W7_75_YFJ]6+__
M`)"-U_UU?^9HZCZA;?ZB[_ZY#_T-:KU8MO\`47?_`%R'_H:U7H0+J6+W_7K_
M`-<HO_0%HLO]>W_7*7_T!J+W_7K_`-<HO_0%HLO]>W_7*7_T!J.A/V2O5BY_
MU%I_UR/_`*&U5ZL7/^HM/^N1_P#0VH&^@6'_`"$;7_KJG\Q5>K%A_P`A&U_Z
MZI_,57HZAU+#_P#(.A_ZZR?R2J]6'_Y!T/\`UUD_DE5Z$$=BQ?\`_(1NO^NK
M_P`S0G_(.F_ZZQ_R>B__`.0C=?\`75_YFA/^0=-_UUC_`)/1T%]E%>K%[_KU
M_P"N47_H"U7JQ>_Z]?\`KE%_Z`M'4KJ%M_J+O_KD/_0UJO5BV_U%W_UR'_H:
MU7H0+=EBY_U%I_UR/_H;467^O;_KE+_Z`U%S_J+3_KD?_0VHLO\`7M_URE_]
M`:CH3]EE>K#_`/(.A_ZZR?R2J]6'_P"0=#_UUD_DE`WT"P_Y"-K_`-=4_F*K
MU8L/^0C:_P#75/YBJ]'4.I83_D'3?]=8_P"3U7JPG_(.F_ZZQ_R>J]"&NI8O
M_P#D(W7_`%U?^9HMO]1=_P#7(?\`H:T7_P#R$;K_`*ZO_,T6W^HN_P#KD/\`
MT-:.A/V45ZL7O^O7_KE%_P"@+5>K%[_KU_ZY1?\`H"T=2NH67^O;_KE+_P"@
M-5>K%E_KV_ZY2_\`H#57HZBZEBY_U%I_UR/_`*&U%A_R$;7_`*ZI_,47/^HM
M/^N1_P#0VHL/^0C:_P#75/YBCH+[+*]6'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)
M_)*!OH5ZL7__`"$;K_KJ_P#,U7JQ?_\`(1NO^NK_`,S1U'U!/^0=-_UUC_D]
M5ZL)_P`@Z;_KK'_)ZKT(%U+%[_KU_P"N47_H"T6W^HN_^N0_]#6B]_UZ_P#7
M*+_T!:+;_47?_7(?^AK1T)^RBO5BY_U%I_UR/_H;57JQ<_ZBT_ZY'_T-J&-[
MH++_`%[?]<I?_0&JO5BR_P!>W_7*7_T!JKT=0ZEA_P#D'0_]=9/Y)5>K#_\`
M(.A_ZZR?R2J]"".QL>+/^1RUS_L(3_\`HQJQZV/%G_(Y:Y_V$)__`$8U8]4]
MR*'\*/H@JQ<_ZBT_ZY'_`-#:J]6+G_46G_7(_P#H;5++>Z"P_P"0C:_]=4_F
M*KU8L/\`D(VO_75/YBJ]'4.I8?\`Y!T/_763^257JP__`"#H?^NLG\DJO0@C
ML6+_`/Y"-U_UU?\`F:$_Y!TW_76/^3T7_P#R$;K_`*ZO_,T)_P`@Z;_KK'_)
MZ.@OLHKU8O?]>O\`URB_]`6J]6+W_7K_`-<HO_0%HZE=0MO]1=_]<A_Z&M5Z
ML6W^HN_^N0_]#6J]"!;LL7/^HM/^N1_]#:BR_P!>W_7*7_T!J+G_`%%I_P!<
MC_Z&U%E_KV_ZY2_^@-1T)^RRO5A_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2@;Z
M!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+"?\`(.F_ZZQ_R>J]6$_Y!TW_
M`%UC_D]5Z$-=2Q?_`/(1NO\`KJ_\S1;?ZB[_`.N0_P#0UHO_`/D(W7_75_YF
MBV_U%W_UR'_H:T="?LHKU8O?]>O_`%RB_P#0%JO5B]_UZ_\`7*+_`-`6CJ5U
M"R_U[?\`7*7_`-`:J]6++_7M_P!<I?\`T!JKT=1=2Q<_ZBT_ZY'_`-#:BP_Y
M"-K_`-=4_F*+G_46G_7(_P#H;46'_(1M?^NJ?S%'07V65ZL/_P`@Z'_KK)_)
M*KU8?_D'0_\`763^24#?0KU8O_\`D(W7_75_YFJ]6+__`)"-U_UU?^9HZCZ@
MG_(.F_ZZQ_R>J]6$_P"0=-_UUC_D]5Z$"ZEB]_UZ_P#7*+_T!:+;_47?_7(?
M^AK1>_Z]?^N47_H"T6W^HN_^N0_]#6CH3]E%>K%S_J+3_KD?_0VJO5BY_P!1
M:?\`7(_^AM0QO=!9?Z]O^N4O_H#57JQ9?Z]O^N4O_H#57HZAU+#_`/(.A_ZZ
MR?R2BP_Y"-K_`-=4_F*'_P"0=#_UUD_DE%A_R$;7_KJG\Q1T%]EE>K"?\@Z;
M_KK'_)ZKU83_`)!TW_76/^3T,;V*]6+_`/Y"-U_UU?\`F:KU8O\`_D(W7_75
M_P"9HZCZA;?ZB[_ZY#_T-:KU8MO]1=_]<A_Z&M5Z$"ZEB]_UZ_\`7*+_`-`6
MBR_U[?\`7*7_`-`:B]_UZ_\`7*+_`-`6BR_U[?\`7*7_`-`:CH3]DKU8N?\`
M46G_`%R/_H;57JQ<_P"HM/\`KD?_`$-J!OH%A_R$;7_KJG\Q5>K%A_R$;7_K
MJG\Q5>CJ'4L/_P`@Z'_KK)_)*KU8?_D'0_\`763^257H01V+%_\`\A&Z_P"N
MK_S-"?\`(.F_ZZQ_R>B__P"0C=?]=7_F:$_Y!TW_`%UC_D]'07V45ZL7O^O7
M_KE%_P"@+5>K%[_KU_ZY1?\`H"T=2NH6W^HN_P#KD/\`T-:KU8MO]1=_]<A_
MZ&M5Z$"W98N?]1:?]<C_`.AM19?Z]O\`KE+_`.@-1<_ZBT_ZY'_T-J++_7M_
MURE_]`:CH3]EE>K#_P#(.A_ZZR?R2J]6'_Y!T/\`UUD_DE`WT"P_Y"-K_P!=
M4_F*KU8L/^0C:_\`75/YBJ]'4.I83_D'3?\`76/^3U7JPG_(.F_ZZQ_R>J]"
M&NI8O_\`D(W7_75_YFBV_P!1=_\`7(?^AK1?_P#(1NO^NK_S-%M_J+O_`*Y#
M_P!#6CH3]E%>K%[_`*]?^N47_H"U7JQ>_P"O7_KE%_Z`M'4KJ%E_KV_ZY2_^
M@-5>K%E_KV_ZY2_^@-5>CJ+J6+G_`%%I_P!<C_Z&U%A_R$;7_KJG\Q1<_P"H
MM/\`KD?_`$-J+#_D(VO_`%U3^8HZ"^RRO5A_^0=#_P!=9/Y)5>K#_P#(.A_Z
MZR?R2@;Z%>K%_P#\A&Z_ZZO_`#-5ZL7_`/R$;K_KJ_\`,T=1]03_`)!TW_76
M/^3U7JPG_(.F_P"NL?\`)ZKT(%U+%[_KU_ZY1?\`H"T6W^HN_P#KD/\`T-:+
MW_7K_P!<HO\`T!:+;_47?_7(?^AK1T)^RBO5BY_U%I_UR/\`Z&U5ZL7/^HM/
M^N1_]#:AC>Z"R_U[?]<I?_0&JO5BR_U[?]<I?_0&JO1U#J6'_P"0=#_UUD_D
ME5ZL/_R#H?\`KK)_)*KT(([&QXL_Y'+7/^PA/_Z,:L>MCQ9_R.6N?]A"?_T8
MU8]4]R*'\*/H@JQ<_P"HM/\`KD?_`$-JKU8N?]1:?]<C_P"AM4LM[H+#_D(V
MO_75/YBJ]6+#_D(VO_75/YBJ]'4.I8?_`)!T/_763^257JP__(.A_P"NLG\D
MJO0@CL6+_P#Y"-U_UU?^9H3_`)!TW_76/^3T7_\`R$;K_KJ_\S0G_(.F_P"N
ML?\`)Z.@OLHKU8O?]>O_`%RB_P#0%JO5B]_UZ_\`7*+_`-`6CJ5U"V_U%W_U
MR'_H:U7JQ;?ZB[_ZY#_T-:KT(%NRQ<_ZBT_ZY'_T-J++_7M_URE_]`:BY_U%
MI_UR/_H;467^O;_KE+_Z`U'0G[+*]6'_`.0=#_UUD_DE5ZL/_P`@Z'_KK)_)
M*!OH%A_R$;7_`*ZI_,57JQ8?\A&U_P"NJ?S%5Z.H=2PG_(.F_P"NL?\`)ZKU
M83_D'3?]=8_Y/5>A#74L7_\`R$;K_KJ_\S1;?ZB[_P"N0_\`0UHO_P#D(W7_
M`%U?^9HMO]1=_P#7(?\`H:T="?LHKU8O?]>O_7*+_P!`6J]6+W_7K_URB_\`
M0%HZE=0LO]>W_7*7_P!`:J]6++_7M_URE_\`0&JO1U%U+%S_`*BT_P"N1_\`
M0VHL/^0C:_\`75/YBBY_U%I_UR/_`*&U%A_R$;7_`*ZI_,4=!?997JP__(.A
M_P"NLG\DJO5A_P#D'0_]=9/Y)0-]"O5B_P#^0C=?]=7_`)FJ]6+_`/Y"-U_U
MU?\`F:.H^H)_R#IO^NL?\GJO5A/^0=-_UUC_`)/5>A`NI8O?]>O_`%RB_P#0
M%HMO]1=_]<A_Z&M%[_KU_P"N47_H"T6W^HN_^N0_]#6CH3]E%>K%S_J+3_KD
M?_0VJO5BY_U%I_UR/_H;4,;W067^O;_KE+_Z`U5ZL67^O;_KE+_Z`U5Z.H=2
MP_\`R#H?^NLG\DHL/^0C:_\`75/YBA_^0=#_`-=9/Y)18?\`(1M?^NJ?S%'0
M7V65ZL)_R#IO^NL?\GJO5A/^0=-_UUC_`)/0QO8KU8O_`/D(W7_75_YFJ]6+
M_P#Y"-U_UU?^9HZCZA;?ZB[_`.N0_P#0UJO5BV_U%W_UR'_H:U7H0+J6+W_7
MK_URB_\`0%HLO]>W_7*7_P!`:B]_UZ_]<HO_`$!:++_7M_URE_\`0&HZ$_9*
M]6+G_46G_7(_^AM5>K%S_J+3_KD?_0VH&^@6'_(1M?\`KJG\Q5>K%A_R$;7_
M`*ZI_,57HZAU+#_\@Z'_`*ZR?R2J]6'_`.0=#_UUD_DE5Z$$=BQ?_P#(1NO^
MNK_S-"?\@Z;_`*ZQ_P`GHO\`_D(W7_75_P"9H3_D'3?]=8_Y/1T%]E%>K%[_
M`*]?^N47_H"U7JQ>_P"O7_KE%_Z`M'4KJ%M_J+O_`*Y#_P!#6J]6+;_47?\`
MUR'_`*&M5Z$"W98N?]1:?]<C_P"AM19?Z]O^N4O_`*`U%S_J+3_KD?\`T-J+
M+_7M_P!<I?\`T!J.A/V65ZL/_P`@Z'_KK)_)*KU8?_D'0_\`763^24#?0+#_
M`)"-K_UU3^8JO5BP_P"0C:_]=4_F*KT=0ZEA/^0=-_UUC_D]5ZL)_P`@Z;_K
MK'_)ZKT(:ZEB_P#^0C=?]=7_`)FBV_U%W_UR'_H:T7__`"$;K_KJ_P#,T6W^
MHN_^N0_]#6CH3]E%>K%[_KU_ZY1?^@+5>K%[_KU_ZY1?^@+1U*ZA9?Z]O^N4
MO_H#57JQ9?Z]O^N4O_H#57HZBZEBY_U%I_UR/_H;46'_`"$;7_KJG\Q1<_ZB
MT_ZY'_T-J+#_`)"-K_UU3^8HZ"^RRO5A_P#D'0_]=9/Y)5>K#_\`(.A_ZZR?
MR2@;Z%>K%_\`\A&Z_P"NK_S-5ZL7_P#R$;K_`*ZO_,T=1]03_D'3?]=8_P"3
MU7JPG_(.F_ZZQ_R>J]"!=2Q>_P"O7_KE%_Z`M%M_J+O_`*Y#_P!#6B]_UZ_]
M<HO_`$!:+;_47?\`UR'_`*&M'0G[**]6+G_46G_7(_\`H;57JQ<_ZBT_ZY'_
M`-#:AC>Z"R_U[?\`7*7_`-`:J]6++_7M_P!<I?\`T!JKT=0ZEA_^0=#_`-=9
M/Y)5>K#_`/(.A_ZZR?R2J]"".QL>+/\`D<M<_P"PA/\`^C&K'K8\6?\`(Y:Y
M_P!A"?\`]&-6/5/<BA_"CZ(*L7/^HM/^N1_]#:J]6+G_`%%I_P!<C_Z&U2RW
MN@L/^0C:_P#75/YBJ]6+#_D(VO\`UU3^8JO1U#J6'_Y!T/\`UUD_DE5ZL/\`
M\@Z'_KK)_)*KT(([%B__`.0C=?\`75_YFA/^0=-_UUC_`)/1?_\`(1NO^NK_
M`,S0G_(.F_ZZQ_R>CH+[**]6+W_7K_URB_\`0%JO5B]_UZ_]<HO_`$!:.I74
M+;_47?\`UR'_`*&M5ZL6W^HN_P#KD/\`T-:KT(%NRQ<_ZBT_ZY'_`-#:BR_U
M[?\`7*7_`-`:BY_U%I_UR/\`Z&U%E_KV_P"N4O\`Z`U'0G[+*]6'_P"0=#_U
MUD_DE5ZL/_R#H?\`KK)_)*!OH%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4
ML)_R#IO^NL?\GJO5A/\`D'3?]=8_Y/5>A#74L7__`"$;K_KJ_P#,T6W^HN_^
MN0_]#6B__P"0C=?]=7_F:+;_`%%W_P!<A_Z&M'0G[**]6+W_`%Z_]<HO_0%J
MO5B]_P!>O_7*+_T!:.I74++_`%[?]<I?_0&JO5BR_P!>W_7*7_T!JKT=1=2Q
M<_ZBT_ZY'_T-J+#_`)"-K_UU3^8HN?\`46G_`%R/_H;46'_(1M?^NJ?S%'07
MV65ZL/\`\@Z'_KK)_)*KU8?_`)!T/_763^24#?0KU8O_`/D(W7_75_YFJ]6+
M_P#Y"-U_UU?^9HZCZ@G_`"#IO^NL?\GJO5A/^0=-_P!=8_Y/5>A`NI8O?]>O
M_7*+_P!`6BV_U%W_`-<A_P"AK1>_Z]?^N47_`*`M%M_J+O\`ZY#_`-#6CH3]
ME%>K%S_J+3_KD?\`T-JKU8N?]1:?]<C_`.AM0QO=!9?Z]O\`KE+_`.@-5>K%
ME_KV_P"N4O\`Z`U5Z.H=2P__`"#H?^NLG\DHL/\`D(VO_75/YBA_^0=#_P!=
M9/Y)18?\A&U_ZZI_,4=!?997JPG_`"#IO^NL?\GJO5A/^0=-_P!=8_Y/0QO8
MKU8O_P#D(W7_`%U?^9JO5B__`.0C=?\`75_YFCJ/J%M_J+O_`*Y#_P!#6J]6
M+;_47?\`UR'_`*&M5Z$"ZEB]_P!>O_7*+_T!:++_`%[?]<I?_0&HO?\`7K_U
MRB_]`6BR_P!>W_7*7_T!J.A/V2O5BY_U%I_UR/\`Z&U5ZL7/^HM/^N1_]#:@
M;Z!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+#_`/(.A_ZZR?R2J]6'_P"0
M=#_UUD_DE5Z$$=BQ?_\`(1NO^NK_`,S0G_(.F_ZZQ_R>B_\`^0C=?]=7_F:$
M_P"0=-_UUC_D]'07V45ZL7O^O7_KE%_Z`M5ZL7O^O7_KE%_Z`M'4KJ%M_J+O
M_KD/_0UJO5BV_P!1=_\`7(?^AK5>A`MV6+G_`%%I_P!<C_Z&U%E_KV_ZY2_^
M@-1<_P"HM/\`KD?_`$-J++_7M_URE_\`0&HZ$_997JP__(.A_P"NLG\DJO5A
M_P#D'0_]=9/Y)0-]`L/^0C:_]=4_F*KU8L/^0C:_]=4_F*KT=0ZEA/\`D'3?
M]=8_Y/5>K"?\@Z;_`*ZQ_P`GJO0AKJ6+_P#Y"-U_UU?^9HMO]1=_]<A_Z&M%
M_P#\A&Z_ZZO_`#-%M_J+O_KD/_0UHZ$_917JQ>_Z]?\`KE%_Z`M5ZL7O^O7_
M`*Y1?^@+1U*ZA9?Z]O\`KE+_`.@-5>K%E_KV_P"N4O\`Z`U5Z.HNI8N?]1:?
M]<C_`.AM18?\A&U_ZZI_,47/^HM/^N1_]#:BP_Y"-K_UU3^8HZ"^RRO5A_\`
MD'0_]=9/Y)5>K#_\@Z'_`*ZR?R2@;Z%>K%__`,A&Z_ZZO_,U7JQ?_P#(1NO^
MNK_S-'4?4$_Y!TW_`%UC_D]5ZL)_R#IO^NL?\GJO0@74L7O^O7_KE%_Z`M%M
M_J+O_KD/_0UHO?\`7K_URB_]`6BV_P!1=_\`7(?^AK1T)^RBO5BY_P!1:?\`
M7(_^AM5>K%S_`*BT_P"N1_\`0VH8WN@LO]>W_7*7_P!`:J]6++_7M_URE_\`
M0&JO1U#J6'_Y!T/_`%UD_DE5ZL/_`,@Z'_KK)_)*KT(([&QXL_Y'+7/^PA/_
M`.C&K'K8\6?\CEKG_80G_P#1C5CU3W(H?PH^B"K%S_J+3_KD?_0VJO5BY_U%
MI_UR/_H;5++>Z"P_Y"-K_P!=4_F*KU8L/^0C:_\`75/YBJ]'4.I8?_D'0_\`
M763^257JP_\`R#H?^NLG\DJO0@CL6+__`)"-U_UU?^9H3_D'3?\`76/^3T7_
M`/R$;K_KJ_\`,T)_R#IO^NL?\GHZ"^RBO5B]_P!>O_7*+_T!:KU8O?\`7K_U
MRB_]`6CJ5U"V_P!1=_\`7(?^AK5>K%M_J+O_`*Y#_P!#6J]"!;LL7/\`J+3_
M`*Y'_P!#:BR_U[?]<I?_`$!J+G_46G_7(_\`H;467^O;_KE+_P"@-1T)^RRO
M5A_^0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2@;Z!8?\`(1M?^NJ?S%5ZL6'_`"$;
M7_KJG\Q5>CJ'4L)_R#IO^NL?\GJO5A/^0=-_UUC_`)/5>A#74L7_`/R$;K_K
MJ_\`,T6W^HN_^N0_]#6B_P#^0C=?]=7_`)FBV_U%W_UR'_H:T="?LHKU8O?]
M>O\`URB_]`6J]6+W_7K_`-<HO_0%HZE=0LO]>W_7*7_T!JKU8LO]>W_7*7_T
M!JKT=1=2Q<_ZBT_ZY'_T-J+#_D(VO_75/YBBY_U%I_UR/_H;46'_`"$;7_KJ
MG\Q1T%]EE>K#_P#(.A_ZZR?R2J]6'_Y!T/\`UUD_DE`WT*]6+_\`Y"-U_P!=
M7_F:KU8O_P#D(W7_`%U?^9HZCZ@G_(.F_P"NL?\`)ZKU83_D'3?]=8_Y/5>A
M`NI8O?\`7K_URB_]`6BV_P!1=_\`7(?^AK1>_P"O7_KE%_Z`M%M_J+O_`*Y#
M_P!#6CH3]E%>K%S_`*BT_P"N1_\`0VJO5BY_U%I_UR/_`*&U#&]T%E_KV_ZY
M2_\`H#57JQ9?Z]O^N4O_`*`U5Z.H=2P__(.A_P"NLG\DHL/^0C:_]=4_F*'_
M`.0=#_UUD_DE%A_R$;7_`*ZI_,4=!?997JPG_(.F_P"NL?\`)ZKU83_D'3?]
M=8_Y/0QO8KU8O_\`D(W7_75_YFJ]6+__`)"-U_UU?^9HZCZA;?ZB[_ZY#_T-
M:KU8MO\`47?_`%R'_H:U7H0+J6+W_7K_`-<HO_0%HLO]>W_7*7_T!J+W_7K_
M`-<HO_0%HLO]>W_7*7_T!J.A/V2O5BY_U%I_UR/_`*&U5ZL7/^HM/^N1_P#0
MVH&^@6'_`"$;7_KJG\Q5>K%A_P`A&U_ZZI_,57HZAU+#_P#(.A_ZZR?R2J]6
M'_Y!T/\`UUD_DE5Z$$=BQ?\`_(1NO^NK_P`S0G_(.F_ZZQ_R>B__`.0C=?\`
M75_YFA/^0=-_UUC_`)/1T%]E%>K%[_KU_P"N47_H"U7JQ>_Z]?\`KE%_Z`M'
M4KJ%M_J+O_KD/_0UJO5BV_U%W_UR'_H:U7H0+=EBY_U%I_UR/_H;467^O;_K
ME+_Z`U%S_J+3_KD?_0VHLO\`7M_URE_]`:CH3]EE>K#_`/(.A_ZZR?R2J]6'
M_P"0=#_UUD_DE`WT"P_Y"-K_`-=4_F*KU8L/^0C:_P#75/YBJ]'4.I83_D'3
M?]=8_P"3U7JPG_(.F_ZZQ_R>J]"&NI8O_P#D(W7_`%U?^9HMO]1=_P#7(?\`
MH:T7_P#R$;K_`*ZO_,T6W^HN_P#KD/\`T-:.A/V45ZL7O^O7_KE%_P"@+5>K
M%[_KU_ZY1?\`H"T=2NH67^O;_KE+_P"@-5>K%E_KV_ZY2_\`H#57HZBZEBY_
MU%I_UR/_`*&U%A_R$;7_`*ZI_,47/^HM/^N1_P#0VHL/^0C:_P#75/YBCH+[
M+*]6'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)_)*!OH5ZL7__`"$;K_KJ_P#,U7JQ
M?_\`(1NO^NK_`,S1U'U!/^0=-_UUC_D]5ZL)_P`@Z;_KK'_)ZKT(%U+%[_KU
M_P"N47_H"T6W^HN_^N0_]#6B]_UZ_P#7*+_T!:+;_47?_7(?^AK1T)^RBO5B
MY_U%I_UR/_H;57JQ<_ZBT_ZY'_T-J&-[H++_`%[?]<I?_0&JO5BR_P!>W_7*
M7_T!JKT=0ZEA_P#D'0_]=9/Y)5>K#_\`(.A_ZZR?R2J]"".QL>+/^1RUS_L(
M3_\`HQJQZV/%G_(Y:Y_V$)__`$8U8]4]R*'\*/H@JQ<_ZBT_ZY'_`-#:J]6+
MG_46G_7(_P#H;5++>Z"P_P"0C:_]=4_F*KU8L/\`D(VO_75/YBJ]'4.I8?\`
MY!T/_763^257JP__`"#H?^NLG\DJO0@CL6+_`/Y"-U_UU?\`F:$_Y!TW_76/
M^3T7_P#R$;K_`*ZO_,T)_P`@Z;_KK'_)Z.@OLHKU8O?]>O\`URB_]`6J]6+W
M_7K_`-<HO_0%HZE=0MO]1=_]<A_Z&M5ZL6W^HN_^N0_]#6J]"!;LL7/^HM/^
MN1_]#:BR_P!>W_7*7_T!J+G_`%%I_P!<C_Z&U%E_KV_ZY2_^@-1T)^RRO5A_
M^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2@;Z!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_
M,57HZAU+"?\`(.F_ZZQ_R>J]6$_Y!TW_`%UC_D]5Z$-=2Q?_`/(1NO\`KJ_\
MS1;?ZB[_`.N0_P#0UHO_`/D(W7_75_YFBV_U%W_UR'_H:T="?LHKU8O?]>O_
M`%RB_P#0%JO5B]_UZ_\`7*+_`-`6CJ5U"R_U[?\`7*7_`-`:J]6++_7M_P!<
MI?\`T!JKT=1=2Q<_ZBT_ZY'_`-#:BP_Y"-K_`-=4_F*+G_46G_7(_P#H;46'
M_(1M?^NJ?S%'07V65ZL/_P`@Z'_KK)_)*KU8?_D'0_\`763^24#?0KU8O_\`
MD(W7_75_YFJ]6+__`)"-U_UU?^9HZCZ@G_(.F_ZZQ_R>J]6$_P"0=-_UUC_D
M]5Z$"ZEB]_UZ_P#7*+_T!:+;_47?_7(?^AK1>_Z]?^N47_H"T6W^HN_^N0_]
M#6CH3]E%>K%S_J+3_KD?_0VJO5BY_P!1:?\`7(_^AM0QO=!9?Z]O^N4O_H#5
M7JQ9?Z]O^N4O_H#57HZAU+#_`/(.A_ZZR?R2BP_Y"-K_`-=4_F*'_P"0=#_U
MUD_DE%A_R$;7_KJG\Q1T%]EE>K"?\@Z;_KK'_)ZKU83_`)!TW_76/^3T,;V*
M]6+_`/Y"-U_UU?\`F:KU8O\`_D(W7_75_P"9HZCZA;?ZB[_ZY#_T-:KU8MO]
M1=_]<A_Z&M5Z$"ZEB]_UZ_\`7*+_`-`6BR_U[?\`7*7_`-`:B]_UZ_\`7*+_
M`-`6BR_U[?\`7*7_`-`:CH3]DKU8N?\`46G_`%R/_H;57JQ<_P"HM/\`KD?_
M`$-J!OH%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L/_P`@Z'_KK)_)*KU8
M?_D'0_\`763^257H01V+%_\`\A&Z_P"NK_S-"?\`(.F_ZZQ_R>B__P"0C=?]
M=7_F:$_Y!TW_`%UC_D]'07V45ZL7O^O7_KE'_P"@+5>K5S&\MW''&I9VBB``
M[_(M'4;W&VW^HN_^N0_]#6J]=AI6F)ID#33$>:5^<]E'7%<M>SBYO)9E4*K-
MP`.W:IC*[=B(5.:32%N?]1:?]<C_`.AM19?Z]O\`KE+_`.@-1<_ZBT_ZY'_T
M-J++_7M_URE_]`:JZ%?997JP_P#R#H?^NLG\DJO5A_\`D'0_]=9/Y)0-]`L/
M^0C:_P#75/YBJ]6+#_D(VO\`UU3^8JO1U#J6$_Y!TW_76/\`D]5ZL)_R#IO^
MNL?\GJO0AKJ6+_\`Y"-U_P!=7_F:+;_47?\`UR'_`*&M%_\`\A&Z_P"NK_S-
M%M_J+O\`ZY#_`-#6CH3]E%>K%[_KU_ZY1?\`H"U7JQ>_Z]?^N47_`*`M'4KJ
M%E_KV_ZY2_\`H#57JQ9?Z]O^N4O_`*`U5Z.HNI8N?]1:?]<C_P"AM18?\A&U
M_P"NJ?S%%S_J+3_KD?\`T-J+#_D(VO\`UU3^8HZ"^RRO5A_^0=#_`-=9/Y)5
M>K#_`/(.A_ZZR?R2@;Z%>K%__P`A&Z_ZZO\`S-5ZL7__`"$;K_KJ_P#,T=1]
M03_D'3?]=8_Y/5>K"?\`(.F_ZZQ_R>J]"!=2Q>_Z]?\`KE%_Z`M%M_J+O_KD
M/_0UHO?]>O\`URB_]`6BV_U%W_UR'_H:T="?LHKU8N?]1:?]<C_Z&U5ZL7/^
MHM/^N1_]#:AC>Z"R_P!>W_7*7_T!JKU8LO\`7M_URE_]`:J]'4.I8?\`Y!T/
M_763^257JP__`"#H?^NLG\DJO0@CL;'BS_D<M<_["$__`*,:L>MCQ9_R.6N?
M]A"?_P!&-6/5/<BA_"CZ(*L7/^HM/^N1_P#0VJO5BY_U%I_UR/\`Z&U2RWN@
ML/\`D(VO_75/YBJ]6+#_`)"-K_UU3^8JO1U#J6'_`.0=#_UUD_DE5ZL/_P`@
MZ'_KK)_)*KT(([%B_P#^0C=?]=7_`)FA/^0=-_UUC_D]%_\`\A&Z_P"NK_S-
M"?\`(.F_ZZQ_R>CH+[**]6+W_7K_`-<HO_0%JO5B]_UZ_P#7*+_T!:.I74+;
M_47?_7(?^AK5>K%M_J+O_KD/_0UJO0@6[+%S_J+3_KD?_0VHLO\`7M_URE_]
M`:BY_P!1:?\`7(_^AM19?Z]O^N4O_H#4="?LLKU8?_D'0_\`763^257JP_\`
MR#H?^NLG\DH&^@6'_(1M?^NJ?S%5ZL6'_(1M?^NJ?S%5Z.H=2PG_`"#IO^NL
M?\GJO5A/^0=-_P!=8_Y/5>A#74L7_P#R$;K_`*ZO_,T6W^HN_P#KD/\`T-:+
M_P#Y"-U_UU?^9HMO]1=_]<A_Z&M'0G[**]6+W_7K_P!<HO\`T!:KU8O?]>O_
M`%RB_P#0%HZE=0LO]>W_`%RE_P#0&JO5BR_U[?\`7*7_`-`:J]'474L7/^HM
M/^N1_P#0VHL/^0C:_P#75/YBBY_U%I_UR/\`Z&U%A_R$;7_KJG\Q1T%]EE>K
M#_\`(.A_ZZR?R2J]6'_Y!T/_`%UD_DE`WT*]6+__`)"-U_UU?^9JO5B__P"0
MC=?]=7_F:.H^H)_R#IO^NL?\GJO5A/\`D'3?]=8_Y/5>A`NI8O?]>O\`URB_
M]`6BV_U%W_UR'_H:T7O^O7_KE%_Z`M%M_J+O_KD/_0UHZ$_917JQ<_ZBT_ZY
M'_T-JKU8N?\`46G_`%R/_H;4,;W067^O;_KE+_Z`U5ZL67^O;_KE+_Z`U5Z.
MH=2P_P#R#H?^NLG\DHL/^0C:_P#75/YBA_\`D'0_]=9/Y)18?\A&U_ZZI_,4
M=!?997JPG_(.F_ZZQ_R>J]6$_P"0=-_UUC_D]#&]BO5B_P#^0C=?]=7_`)FJ
M]6+_`/Y"-U_UU?\`F:.H^H6W^HN_^N0_]#6J]6+;_47?_7(?^AK5>A`NI8O?
M]>O_`%RB_P#0%HLO]>W_`%RE_P#0&HO?]>O_`%RB_P#0%HLO]>W_`%RE_P#0
M&HZ$_9*]6+G_`%%I_P!<C_Z&U5ZL7/\`J+3_`*Y'_P!#:@;Z!8?\A&U_ZZI_
M,57JQ8?\A&U_ZZI_,57HZAU+#_\`(.A_ZZR?R2J]6'_Y!T/_`%UD_DE5P"3@
M#)-"!;%B_P#^0C=?]=7_`)FA/^0=-_UUC_D]:$FC7MWJ%PRQ[(S*Q#OP,9_.
MM>RT&WMXBLY\\E@Q!&!D9QQ^)J'-)&4JL8Q.<L=,N;]OW283N[<`?XUU]II\
M-IAE4-+L5"Y')``'X=*LJH50J@`#H!VJ.XGCM;=YI3A$&364IN1S3JRF[&=K
MMTJV4UNI_>&,.<=AN4?KFN0J\UR]VU_/)]YHAQZ#>O%4:VA&RL==&'(K%BY_
MU%I_UR/_`*&U%E_KV_ZY2_\`H#47/^HM/^N1_P#0VHLO]>W_`%RE_P#0&JNA
M7V65ZL/_`,@Z'_KK)_)*KU8?_D'0_P#763^24#?0+#_D(VO_`%U3^8JO5BP_
MY"-K_P!=4_F*KT=0ZEA/^0=-_P!=8_Y/5>K"?\@Z;_KK'_)ZKT(:ZEB__P"0
MC=?]=7_F:+;_`%%W_P!<A_Z&M%__`,A&Z_ZZO_,T6W^HN_\`KD/_`$-:.A/V
M45ZL7O\`KU_ZY1?^@+5>K%[_`*]?^N47_H"T=2NH67^O;_KE+_Z`U5ZL67^O
M;_KE+_Z`U5Z.HNI8N?\`46G_`%R/_H;46'_(1M?^NJ?S%%S_`*BT_P"N1_\`
M0VHL/^0C:_\`75/YBCH+[+*]6'_Y!T/_`%UD_DE5ZL/_`,@Z'_KK)_)*!OH5
MZL7_`/R$;K_KJ_\`,U7JQ?\`_(1NO^NK_P`S1U'U!/\`D'3?]=8_Y/5>K"?\
M@Z;_`*ZQ_P`GJO0@74L7O^O7_KE%_P"@+1;?ZB[_`.N0_P#0UHO?]>O_`%RB
M_P#0%HMO]1=_]<A_Z&M'0G[**]6+G_46G_7(_P#H;57JQ<_ZBT_ZY'_T-J&-
M[H++_7M_URE_]`:J]6++_7M_URE_]`:J]'4.I8?_`)!T/_763^257JP__(.A
M_P"NLG\DJO0@CL;'BS_D<M<_["$__HQJQZV/%G_(Y:Y_V$)__1C5CU3W(H?P
MH^B"K%S_`*BT_P"N1_\`0VJO5BY_U%I_UR/_`*&U2RWN@L/^0C:_]=4_F*KU
M8L/^0C:_]=4_F*KT=0ZEA_\`D'0_]=9/Y)5>K#_\@Z'_`*ZR?R2J]"".Q8O_
M`/D(W7_75_YFA/\`D'3?]=8_Y/1?_P#(1NO^NK_S-"?\@Z;_`*ZQ_P`GHZ"^
MRBO5B]_UZ_\`7*+_`-`6J]6+W_7K_P!<HO\`T!:.I74+;_47?_7(?^AK5>K%
MM_J+O_KD/_0UJO0@6[+%S_J+3_KD?_0VHLO]>W_7*7_T!J+G_46G_7(_^AM1
M9?Z]O^N4O_H#4="?LLKU8?\`Y!T/_763^257JP__`"#H?^NLG\DH&^@6'_(1
MM?\`KJG\Q5>K%A_R$;7_`*ZI_,57HZAU+"?\@Z;_`*ZQ_P`GJO5A/^0=-_UU
MC_D]5Z$-=2Q?_P#(1NO^NK_S-%M_J+O_`*Y#_P!#6B__`.0C=?\`75_YFBV_
MU%W_`-<A_P"AK1T)^RBO5B]_UZ_]<HO_`$!:KU8O?]>O_7*+_P!`6CJ5U"R_
MU[?]<I?_`$!JKU8LO]>W_7*7_P!`:J]'474L7/\`J+3_`*Y'_P!#:BP_Y"-K
M_P!=4_F*+G_46G_7(_\`H;46'_(1M?\`KJG\Q1T%]EE>K#_\@Z'_`*ZR?R2J
M]6'_`.0=#_UUD_DE`WT*]6+_`/Y"-U_UU?\`F:KU8O\`_D(W7_75_P"9HZCZ
M@G_(.F_ZZQ_R>J]6$_Y!TW_76/\`D]5Z$"ZEB]_UZ_\`7*+_`-`6BV_U%W_U
MR'_H:T7O^O7_`*Y1?^@+1;?ZB[_ZY#_T-:.A/V45ZL7/^HM/^N1_]#:J]6+G
M_46G_7(_^AM0QO=!9?Z]O^N4O_H#57JQ9?Z]O^N4G_H#5"B/(<(K,?0#-'4+
MZDS_`/(.A_ZZR?R2BP_Y"-K_`-=4_F*L?8;N2QA5+:4MYKG&P],)_@:FLM'O
MTO8)&MR$216)+#@`_6E=6(YXI/4R:L)_R#IO^NL?\GJ^OAN_;J8E^K?X"KD?
MAR86KQ//&"SJV5!.,!A_6DYQ%*K"VYSE6+__`)"-U_UU?^9K<3PL@^_=L?\`
M=3']:M2>';6:X>9Y)B78L0"`.3GTI>TC<3KPN<S;_P"HN_\`KD/_`$-:KUV<
M>A6,:NHC8AUVMESR,@_S`J1-&T]!@6J'ZDG^=+VJ)^LQ.0O?]>O_`%RB_P#0
M%HLO]>W_`%RE_P#0&KMA96H8-]FAW```[!G`&/Y5*L:)]U%7Z#%+VNEB'B5:
MUC@$MYI!E(9&SZ*35Z33;V6&U"6TAQ$0<KC!WL>]=G12=5B>)?8Y*QT6_2\A
ME>$(B2*Q)8=`:EB\,7#?ZV>-/]T%O\*ZBBI]I(AXB9E1>'[184BE+RA6+#)Q
MU`';Z"KT%G;6W^I@1#ZA>?SJ>BI<FS-SD]V%%%%(D"<#)KD]?U`W%P+=&_<H
M`V1_$2,Y_(U/K>LA]UI:M\O1W!Z^PK'O?]>O_7*+_P!`6MJ<+.[.NA2L^9A;
M?ZB[_P"N0_\`0UJO5BV_U%W_`-<A_P"AK5>M4=2W98N?]1:?]<C_`.AM19?Z
M]O\`KE+_`.@-1<_ZBT_ZY'_T-J++_7M_URE_]`:CH3]EE>K#_P#(.A_ZZR?R
M2J]6'_Y!T/\`UUD_DE`WT"P_Y"-K_P!=4_F*KU8L/^0C:_\`75/YBJ]'4.I8
M3_D'3?\`76/^3U7JPG_(.F_ZZQ_R>J]"&NI8O_\`D(W7_75_YFBV_P!1=_\`
M7(?^AK1?_P#(1NO^NK_S-%M_J+O_`*Y#_P!#6CH3]E%>K%[_`*]?^N47_H"U
M7JQ>_P"O7_KE%_Z`M'4KJ%E_KV_ZY2_^@-5>K%E_KV_ZY2_^@-5>CJ+J6+G_
M`%%I_P!<C_Z&U%A_R$;7_KJG\Q1<_P"HM/\`KD?_`$-J+#_D(VO_`%U3^8HZ
M"^RRO5A_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2@;Z%>K%_P#\A&Z_ZZO_`#-5
MZL7_`/R$;K_KJ_\`,T=1]03_`)!TW_76/^3U7JPG_(.F_P"NL?\`)ZKT(%U+
M%[_KU_ZY1?\`H"T6W^HN_P#KD/\`T-:+W_7K_P!<HO\`T!:+;_47?_7(?^AK
M1T)^RBO5BY_U%I_UR/\`Z&U5ZL7/^HM/^N1_]#:AC>Z"R_U[?]<I?_0&JO5B
MR_U[?]<I?_0&JO1U#J6'_P"0=#_UUD_DE5ZL/_R#H?\`KK)_)*KT(([&QXL_
MY'+7/^PA/_Z,:L>MCQ9_R.6N?]A"?_T8U8]4]R*'\*/H@JQ<_P"HM/\`KD?_
M`$-JKU8N?]1:?]<C_P"AM4LM[H+#_D(VO_75/YBJ]6+#_D(VO_75/YBJ]'4.
MI8?_`)!T/_763^257JP__(.A_P"NLG\DJO0@CL6+_P#Y"-U_UU?^9H3_`)!T
MW_76/^3T7_\`R$;K_KJ_\S0G_(.F_P"NL?\`)Z.@OLHKU8O?]>O_`%RB_P#0
M%JO5B]_UZ_\`7*+_`-`6CJ5U"V_U%W_UR'_H:U7JQ;?ZB[_ZY#_T-:KT(%NR
MQ<_ZBT_ZY'_T-J++_7M_URE_]`:BY_U%I_UR/_H;467^O;_KE+_Z`U'0G[+*
M]6'_`.0=#_UUD_DE5ZL/_P`@Z'_KK)_)*!OH%A_R$;7_`*ZI_,57JQ8?\A&U
M_P"NJ?S%5Z.H=2PG_(.F_P"NL?\`)ZKU83_D'3?]=8_Y/5>A#74L7_\`R$;K
M_KJ_\S1;?ZB[_P"N0_\`0UHO_P#D(W7_`%U?^9HMO]1=_P#7(?\`H:T="?LH
MKU8O?]>O_7*+_P!`6J]6+W_7K_URB_\`0%HZE=0LO]>W_7*7_P!`:J]6++_7
MM_URE_\`0&JO1U%U+%S_`*BT_P"N1_\`0VHL/^0C:_\`75/YBBY_U%I_UR/_
M`*&U%A_R$;7_`*ZI_,4=!?997JP__(.A_P"NLG\DJO6I#IEY=6,*QPD8E<DM
M\HP0N#S]#0VD$FE:YEU8O_\`D(W7_75_YFMJ#PN>#<7`'^S&/ZG_``K5&D6(
MF>5H`[NQ8ESGD^W2H=1)F4J\$]#DH4:2PF5%+-YL?`&>ST^/2+^496U<?[WR
M_P`Z[9(TB7;&BHH[*,"G5'M>QD\2^B.9E\/7<\JL7B11&BG)).0H!_458M_#
M8C259+DD2)M.U,8Y!]?:MZBI]I(S=>>QCQ^&[%/O&5_JV/Y"K8TFQ"HOV=6"
M#:NXDX&2>_N35VBI<FR74D^I#'9VT)S';Q(?54`J8``8`Q112);;"BBB@044
M44`%%%%`!1110`4444`%%%%`!1110`44UW2-"[LJJ.I8X`K'O?$=O#E;8><_
MKT4?XTU%O8J,)2V->66.",R2N$0=237.:EK)N[.9;;<D:R*A;NP(;/X<"L[5
M;J:XOYEED+*DC*J]@`:A3_D'3?\`76/^3UM&G;5G53H**NRO5B]_UZ_]<HO_
M`$!:KU8O?]>O_7*+_P!`6M.IT]0MO]1=_P#7(?\`H:U7JQ;?ZB[_`.N0_P#0
MUJO0@6[+%S_J+3_KD?\`T-J++_7M_P!<I?\`T!J+G_46G_7(_P#H;467^O;_
M`*Y2_P#H#4="?LLKU8?_`)!T/_763^257JP__(.A_P"NLG\DH&^@6'_(1M?^
MNJ?S%5ZL6'_(1M?^NJ?S%5Z.H=2PG_(.F_ZZQ_R>J]6$_P"0=-_UUC_D]5Z$
M-=2Q?_\`(1NO^NK_`,S1;?ZB[_ZY#_T-:+__`)"-U_UU?^9HMO\`47?_`%R'
M_H:T="?LHKU8O?\`7K_URB_]`6J]6+W_`%Z_]<HO_0%HZE=0LO\`7M_URE_]
M`:J]6++_`%[?]<I?_0&JO1U%U+%S_J+3_KD?_0VHL/\`D(VO_75/YBBY_P!1
M:?\`7(_^AM18?\A&U_ZZI_,4=!?997JP_P#R#H?^NLG\DJO5A_\`D'0_]=9/
MY)0-]"O5B_\`^0C=?]=7_F:KU8O_`/D(W7_75_YFCJ/J"?\`(.F_ZZQ_R>J]
M6$_Y!TW_`%UC_D]5Z$"ZEB]_UZ_]<HO_`$!:+;_47?\`UR'_`*&M%[_KU_ZY
M1?\`H"T6W^HN_P#KD/\`T-:.A/V45ZL7/^HM/^N1_P#0VJO5BY_U%I_UR/\`
MZ&U#&]T%E_KV_P"N4O\`Z`U5ZL67^O;_`*Y2_P#H#57HZAU+#_\`(.A_ZZR?
MR2J]6'_Y!T/_`%UD_DE5Z$$=C8\6?\CEKG_80G_]&-6/6QXL_P"1RUS_`+"$
M_P#Z,:L>J>Y%#^%'T058N?\`46G_`%R/_H;57JQ<_P"HM/\`KD?_`$-JEEO=
M!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+#_\`(.A_ZZR?R2J]6'_Y!T/_
M`%UD_DE5Z$$=BQ?_`/(1NO\`KJ_\S0G_`"#IO^NL?\GHO_\`D(W7_75_YFA/
M^0=-_P!=8_Y/1T%]E%>K%[_KU_ZY1?\`H"U7JQ>_Z]?^N47_`*`M'4KJ%M_J
M+O\`ZY#_`-#6J]6+;_47?_7(?^AK5>A`MV6+G_46G_7(_P#H;467^O;_`*Y2
M_P#H#47/^HM/^N1_]#:BR_U[?]<I?_0&HZ$_997JP_\`R#H?^NLG\DJO5A_^
M0=#_`-=9/Y)0-]`L/^0C:_\`75/YBJ]6+#_D(VO_`%U3^8JO1U#J6$_Y!TW_
M`%UC_D]5ZL)_R#IO^NL?\GJO0AKJ6+__`)"-U_UU?^9HMO\`47?_`%R'_H:T
M7_\`R$;K_KJ_\S1;?ZB[_P"N0_\`0UHZ$_917JQ>_P"O7_KE%_Z`M5ZL7O\`
MKU_ZY1?^@+1U*ZA9?Z]O^N4O_H#57J_I5G/<SL8XR5\MU+GH"5('\ZV[/PY;
MQ8:Y;SG_`+HX4?XU+FDS*=6,'J89M+B[BM%@B9SY1S@<#YV[UK6'AV2*:.>X
ME`*,&")SR#GDUOHB1H$10JCH%&`*=63J-['-*O)Z(JVVFVEICR8%##^(\G\S
M5JBBL[W,6V]PHHHH$%%%%`!1110`4444`%%%%`!1110`444UI$099U4#N3B@
M+#J*K-J-DF0UW#D?[8J&;6;""1HWG^=3@@*3@_E3LRN23Z%^BLO^W[(I(R>8
M_EKN.%[9`[_6JC^*(0/W=L['_:8#_&FH2[%*E-]#?HKG+KQ'/$X6.",916RQ
M)ZJ#[>M5X==OIY64NBCRW;Y5[A21U]Z?LY%*A.USJZBFN8+<9FF2/_>8"N(E
MU"\F_P!9<RD>FX@?E27/^IM/^N1_]#:J]EW+6&[LZLZY9&=(8W:1G8*-J\9)
MQU-9%QXFN'R((DC'JWS&LNP_Y"-K_P!=4_F*KU:II,VC0@F7;JYFN;*%YI&=
MO-DY)]DJE5A_^0=#_P!=9/Y)5>K6QK%66A8O_P#D(W7_`%U?^9H3_D'3?]=8
M_P"3T7__`"$;K_KJ_P#,T)_R#IO^NL?\GHZ"^RBO5B]_UZ_]<HO_`$!:KU8O
M?]>O_7*+_P!`6CJ5U"V_U%W_`-<A_P"AK5>K%M_J+O\`ZY#_`-#6J]"!;LL7
M/^HM/^N1_P#0VHLO]>W_`%RE_P#0&HN?]1:?]<C_`.AM19?Z]O\`KE+_`.@-
M1T)^RRO5A_\`D'0_]=9/Y)5>K#_\@Z'_`*ZR?R2@;Z!8?\A&U_ZZI_,57JQ8
M?\A&U_ZZI_,57HZAU+"?\@Z;_KK'_)ZKU83_`)!TW_76/^3U7H0UU+%__P`A
M&Z_ZZO\`S-%M_J+O_KD/_0UHO_\`D(W7_75_YFBV_P!1=_\`7(?^AK1T)^RB
MO5B]_P!>O_7*+_T!:KU8O?\`7K_URB_]`6CJ5U"R_P!>W_7*7_T!JKU8LO\`
M7M_URE_]`:J]'474L7/^HM/^N1_]#:BP_P"0C:_]=4_F*+G_`%%I_P!<C_Z&
MU%A_R$;7_KJG\Q1T%]EE>K#_`/(.A_ZZR?R2J]6'_P"0=#_UUD_DE`WT*]6+
M_P#Y"-U_UU?^9JO5B_\`^0C=?]=7_F:.H^H)_P`@Z;_KK'_)ZKU83_D'3?\`
M76/^3U7H0+J6+W_7K_URB_\`0%HMO]1=_P#7(?\`H:T7O^O7_KE%_P"@+1;?
MZB[_`.N0_P#0UHZ$_917JQ<_ZBT_ZY'_`-#:J]6+G_46G_7(_P#H;4,;W067
M^O;_`*Y2_P#H#57JQ9?Z]O\`KE+_`.@-5>CJ'4L/_P`@Z'_KK)_)*KU8?_D'
M0_\`763^257H01V-CQ9_R.6N?]A"?_T8U8];'BS_`)'+7/\`L(3_`/HQJQZI
M[D4/X4?1!5BY_P!1:?\`7(_^AM5>K%S_`*BT_P"N1_\`0VJ66]T%A_R$;7_K
MJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L/_P`@Z'_KK)_)*KU8?_D'0_\`763^257H
M01V+%_\`\A&Z_P"NK_S-"?\`(.F_ZZQ_R>B__P"0C=?]=7_F:$_Y!TW_`%UC
M_D]'07V45ZL7O^O7_KE%_P"@+5>K%[_KU_ZY1?\`H"T=2NH6W^HN_P#KD/\`
MT-:KU8MO]1=_]<A_Z&M5Z$"W98N?]1:?]<C_`.AM19?Z]O\`KE+_`.@-1<_Z
MBT_ZY'_T-J++_7M_URE_]`:CH3]EE>K#_P#(.A_ZZR?R2J]6'_Y!T/\`UUD_
MDE`WT"P_Y"-K_P!=4_F*KU8L/^0C:_\`75/YBJ]'4.I83_D'3?\`76/^3U7J
MPG_(.F_ZZQ_R>J]"&NI8O_\`D(W7_75_YFBW_P!1=_\`7(?^AK1?_P#(1NO^
MNK_S-:NDZ++-'*UP#'%(@4#^(_,#_2DVDM2)248W9CV]M-=2B.&,NWMV^M=1
M!H,)D2:Z.]@B+L'W00H'X]*TK>UAM(A'!&$7OCO]:FK&51O8Y*E=RV$5%10J
M*%4=`!@"EHHK,P"BBFM(B$!G523@`G&:`'45GRZUI\7!N%8_[`)_E5>7Q%;)
M"LJ12.&8J,X'(`/]:?*RU3D^AL45S,GBB8C]W;1J?]IBW^%0WVN7R7<T4<BH
MJ2,HPHS@'WJO9R+5"9UE(2`,D@#WKC3J-Y+8RL]S)D2H`0V."&]/H*SWD>0Y
M=V8^K'-4J3+6&;W9WDEY:PG$EQ$AZX+C-0G5[`*Y%PK!!N;:"<#('\R*X^]_
MUZ_]<HO_`$!:+;_47?\`UR'_`*&M/V2L4L.K7;.F?Q)8I]T2O]%_Q-1S^(XX
MTB9+=V\Q=PRP'\1'OZ5RM6+G_46G_7(_^AM5>SB7[""L;D7B22:1E6W1<([<
ML3T4G^E4V\27S=!"OT4_XUGV7^O;_KE+_P"@-5>FH1N4J4+[&O+K-^UG')Y^
MUFD=3A0.`%QV]S45KJ-Y-J%NLES*5,J@C=@'D=JJO_R#H?\`KK)_)*+#_D(V
MO_75/YBGRJP^2*CL1O/-(,22NP_VF)J1/^0=-_UUC_D]5ZL)_P`@Z;_KK'_)
MZ;1;2L5ZL7__`"$;K_KJ_P#,U7JQ?_\`(1NO^NK_`,S1U'U"V_U%W_UR'_H:
MU7K0TZRN+J.Y6*,X>,*&/`SO4]?P-:]IX:A0!KJ0R-_=7@?GU_E4N:6YG*K&
M-[F%<QO+<HL:,[&*/A1D_<6M'3]"O#(7E58E*.OS')Y4CH/K73)%%`OR(J``
M#@8X`Q6=/KMNLC16_P"]<([;OX1A2?QZ5GSMZ(P]M*2M%$=OX<LXAF9GF(ZY
M.!^0J/6/[-73_(5HT<#=$$&>Y]/?-8-UJ-W>$^=*Q7^X.%_*FW'^HM/^N1_]
M#:J4'>[9:IRNG)A8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57K3J;]2P_P#R#H?^
MNLG\DJO5A_\`D'0_]=9/Y)3(K:>?_50R/_NJ30":2'W_`/R$;K_KJ_\`,T)_
MR#IO^NL?\GK1N-$OKB^N'6(*C2,0S,.1FIXO#MS]EDBDEB4LZL",GH&']:GG
M5C-U8);G/U8O?]>O_7*+_P!`6MH>%CWO`/I'_P#7JQ-X;BF<,;AQA57[H[`#
M^E)U(W$Z\+[G.VW^HN_^N0_]#6J]=5'X;BC251<.?,7:?E''(/\`2H&\+<_+
M><>AC_\`KT*I$%7AW,2Y_P!1:?\`7(_^AM19?Z]O^N4O_H#5LW'ARX>.%8YH
MB8TVG=D9^8G^M5HM%OK>9BT09?*D&58'DH0/>GSIH:J0:W,>K#_\@Z'_`*ZR
M?R2HI(986VRQNA]&4BI7_P"0=#_UUD_DE4:7O8+#_D(VO_75/YBJ]6+#_D(V
MO_75/YBJ]'4.I83_`)!TW_76/^3U7JPG_(.F_P"NL?\`)ZKT(:ZEB_\`^0C=
M?]=7_F:+;_47?_7(?^AK1?\`_(1NO^NK_P`S1;?ZB[_ZY#_T-:.A/V45ZL7O
M^O7_`*Y1?^@+5>K%[_KU_P"N47_H"T=2NH67^O;_`*Y2_P#H#57JQ9?Z]O\`
MKE+_`.@-5>CJ+J6+G_46G_7(_P#H;46'_(1M?^NJ?S%%S_J+3_KD?_0VHL/^
M0C:_]=4_F*.@OLLKU8?_`)!T/_763^257JP__(.A_P"NLG\DH&^A7JQ?_P#(
M1NO^NK_S-5ZL7_\`R$;K_KJ_\S1U'U!/^0=-_P!=8_Y/5>K"?\@Z;_KK'_)Z
MKT(%U+%[_KU_ZY1?^@+1;?ZB[_ZY#_T-:+W_`%Z_]<HO_0%HMO\`47?_`%R'
M_H:T="?LHKU8N?\`46G_`%R/_H;57JQ<_P"HM/\`KD?_`$-J&-[H++_7M_UR
ME_\`0&JO5BR_U[?]<I?_`$!JKT=0ZEA_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R
M2J]"".QL>+/^1RUS_L(3_P#HQJQZV/%G_(Y:Y_V$)_\`T8U8]4]R*'\*/H@J
MQ<_ZBT_ZY'_T-JKU8N?]1:?]<C_Z&U2RWN@L/^0C:_\`75/YBJ]6+#_D(VO_
M`%U3^8JO1U#J6'_Y!T/_`%UD_DE5ZL/_`,@Z'_KK)_)*KT(([%B__P"0C=?]
M=7_F:$_Y!TW_`%UC_D]%_P#\A&Z_ZZO_`#-"?\@Z;_KK'_)Z.@OLHKU8O?\`
M7K_URB_]`6J]6+W_`%Z_]<HO_0%HZE=0MO\`47?_`%R'_H:U7JQ;?ZB[_P"N
M0_\`0UJO0@6[+%S_`*BT_P"N1_\`0VHLO]>W_7*7_P!`:BY_U%I_UR/_`*&U
M%E_KV_ZY2_\`H#4="?LLKU8?_D'0_P#763^257JP_P#R#H?^NLG\DH&^@6'_
M`"$;7_KJG\Q5>K%A_P`A&U_ZZI_,57HZAU+"?\@Z;_KK'_)ZCA@EN91%"A=S
MT`J[IUC+?VTL46!^]C)8]`,/_C756.GP6$6R)?F/WG/5JB4U$RJ5E"ZZE>VT
M>"*[ENI?WDKN67/1<G/YUI45'-/%;Q-)*X1%&236#;9Q-N3U)*1F"J68@`=2
M37/7GB8<K:19_P!M_P#"LG4KF:>=?-E9AY<;8)XR4!/'XU:IM[FL*$GOH=1)
MK-DCE$E\UPK-A.1P">O3M6//XGG;B"%(QZL=QK*LO]>W_7*7_P!`:J]:*FD;
MQH03-*]U&\EBMBUPXWQDL%.T$[V';V`JM8DG4K8DY)F7G\127'^HM/\`KD?_
M`$-J+#_D(VO_`%U3^8JK*QHDE%V*]6'_`.0=#_UUD_DE5ZL/_P`@Z'_KK)_)
M*93Z%>K%_P#\A&Z_ZZO_`#-5ZL7_`/R$;K_KJ_\`,T=1]03_`)!TW_76/^3U
M7JPG_(.F_P"NL?\`)ZKT(%U+%[_KU_ZY1?\`H"T6W^HN_P#KD/\`T-:+W_7K
M_P!<HO\`T!:+;_47?_7(?^AK1T)^RBO5BY_U%I_UR/\`Z&U5ZL7/^HM/^N1_
M]#:AC>Z"R_U[?]<I?_0&JO5BR_U[?]<I?_0&JO1U#J6'_P"0=#_UUD_DE%A_
MR$;7_KJG\Q0__(.A_P"NLG\DHL/^0C:_]=4_F*.@OLLKU83_`)!TW_76/^3U
M`JEV"JI9CP`!R:Z/3=!)MF%Z,!W5Q&#SP".?SI2DDA5)J*U,.TL;B]?;!&6Q
MU8\`?4UU,6A6PNI;B?\`>L[E@I^Z,G/3O6E'&D,82-`B#H`,"G5A*HWL<<Z\
MI;"*`H"J``.@%07=Y#90F69\#L.Y/M3;^^2QMWD.&=5W!,\GD#^9%<7=7<U[
M,99FRW8=A]*(0Y@I4G/5[%[6-3GN9?+#%(2BL$'?*@\^O6J5E_KV_P"N4O\`
MZ`U%[_KU_P"N4?\`Z`M%E_KV_P"N4O\`Z`U;I6B=BBE#0KU8N?\`46G_`%R/
M_H;5)9:9<W[?NDPG=VX`_P`:Z>VT6VA2+SE$SQKM!8<=2>GXTI32)J58Q.<T
MJRN)[R"6.)C&DBL7Z#`/K6G;>&!P;F?/^S&/ZFM]Y(X0H=U3<0J@G&3Z"L6Y
M\30)E;:)I3_>;Y1_C6?-*3T,/:5)OW32@TVSMXU1(%(4D@M\Q!.,GGZ"K#RQ
M0KF1T1?]H@"N4NM8O9[*-_-\LM(ZD1\<`+C^9K*9V=MSL68]R<T*FWNQJA*6
MLF=I/K-A;N4><%U."%4G!JNWB&U\EY4CE9595/`&<@GU]JYF_P#^0C=?]=7_
M`)FA/^0=-_UUC_D]5[-6*6'C:YMMXI&?DM"?<R8_I2S^)'AD"BV4Y16Y?U4'
MT]ZYNK%[_KU_ZY1?^@+3Y(W+]A"^QN1>)'D29C;+^[3=@/U^8#T]Z5/%*$_O
M+5A_NOG^E85O_J+O_KD/_0UJO1[.(>P@^AV::Y9,L1=VB\Q=R[U]R.WT-7XI
MHYTWQ2*Z^JG-<+<_ZBT_ZY'_`-#:GZ=+)#=%HW*D12'CV0D5+I*VAG+#JUT=
MPZ+(I5U#*>Q&16==Z':7,01`8=I+#9TR<=OP%5-,\0+,RPW>%<\"0<`_7TK>
MK-WBS!J=-G)C1;JRU"W<KYD0E7YT[<CJ.U8U>BUC:GH,5T#+;`1S=2/X6_PK
M2-3N;T\1K[QS:?\`(.F_ZZQ_R>J]6VC>&SN(Y%*NLT8(/;AZJ5JCI6MRQ?\`
M_(1NO^NK_P`S1;?ZB[_ZY#_T-:+_`/Y"-U_UU?\`F:+;_47?_7(?^AK1T%]E
M%>K%[_KU_P"N47_H"U7JQ>_Z]?\`KE%_Z`M'4KJ%E_KV_P"N4O\`Z`U5ZL67
M^O;_`*Y2_P#H#57HZBZEBY_U%I_UR/\`Z&U%A_R$;7_KJG\Q1<_ZBT_ZY'_T
M-J+#_D(VO_75/YBCH+[+*]6'_P"0=#_UUD_DE5ZL/_R#H?\`KK)_)*!OH5ZL
M7_\`R$;K_KJ_\S5>K%__`,A&Z_ZZO_,T=1]03_D'3?\`76/^3U7JPG_(.F_Z
MZQ_R>J]"!=2Q>_Z]?^N47_H"T6W^HN_^N0_]#6B]_P!>O_7*+_T!:+;_`%%W
M_P!<A_Z&M'0G[**]6+G_`%%I_P!<C_Z&U5ZL7/\`J+3_`*Y'_P!#:AC>Z"R_
MU[?]<I?_`$!JKU8LO]>W_7*7_P!`:J]'4.I8?_D'0_\`763^257JP_\`R#H?
M^NLG\DJO0@CL;'BS_D<M<_["$_\`Z,:L>MCQ9_R.6N?]A"?_`-&-6/5/<BA_
M"CZ(*L7/^HM/^N1_]#:J]6+G_46G_7(_^AM4LM[H+#_D(VO_`%U3^8JO5BP_
MY"-K_P!=4_F*KT=0ZEA_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2J]"".Q8O_\`
MD(W7_75_YFA/^0=-_P!=8_Y/1?\`_(1NO^NK_P`S0G_(.F_ZZQ_R>CH+[**]
M6+W_`%Z_]<HO_0%JO5B]_P!>O_7*+_T!:.I74+;_`%%W_P!<A_Z&M5ZL6W^H
MN_\`KD/_`$-:KT(%NRQ<_P"HM/\`KD?_`$-J++_7M_URE_\`0&HN?]1:?]<C
M_P"AM19?Z]O^N4O_`*`U'0G[+*]6'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)_)*!
MOH%A_P`A&U_ZZI_,5/IFF2ZC-@96)?OOC]![T_1K"6[O8Y5&(XG#,Q]CG'UK
MKX(([:%8HE"HHX`K.<[:(PJU>5V6XEO;Q6L*Q0H%0?K[U(S*BEF8*HY))P!5
M:^OX;"`RRY/.`HZD\X_D:Y&_U2XU!_WC;8QTC4\#_&LXP<CGA2E4=S:U+Q!Y
M$CP6J9=259V'`(]!WK$6>6Y2\DFD9V,0Y)_VUJ.__P"0C=?]=7_F:+?_`%%W
M_P!<A_Z&M;**2.N-.,8Z%>K%[_KU_P"N4?\`Z`M5ZTX3;C5H1=1AXFBC4Y/0
M[%P:INQI)VU*EE_KV_ZY2_\`H#57K?O]+%E>M-"N()(I>/[IV-Q6!2B[ZBA)
M2U18N?\`46G_`%R/_H;46'_(1M?^NJ?S%%S_`*BT_P"N1_\`0VHL/^0C:_\`
M75/YBGT#[+*]6'_Y!T/_`%UD_DE5ZL/_`,@Z'_KK)_)*!OH5ZL7_`/R$;K_K
MJ_\`,U7JQ?\`_(1NO^NK_P`S1U'U!/\`D'3?]=8_Y/5>K"?\@Z;_`*ZQ_P`G
MJO0@74L7O^O7_KE%_P"@+1;?ZB[_`.N0_P#0UHO?]>O_`%RB_P#0%HMO]1=_
M]<A_Z&M'0G[**]6+G_46G_7(_P#H;57JQ<_ZBT_ZY'_T-J&-[H++_7M_URE_
M]`:J]6++_7M_URE_]`:J]'4.I8?_`)!T/_763^25+I5M+<:A"8T)$;JS'L`#
M5K3M+?4;2(;MD22N6;OT3I^1KJ;:VAM(1%"@51^ON:SE.RL85*RBK+<JZ=I,
M&GJ"HWS$<R$?R]*OT45@W?<XW)MW852U+48].M][?-(W")GJ?\*EO+N.RMFF
ME/`Z#N3Z5QVJ323:E<&1L[7*+[`'BKA#F>IK1I<[UV%^T2W7VV:9MSM$/P^=
M:I58MO\`47?_`%R'_H:TVVMI;N=885W.?T]S70M#M5HW)+I&DND1%+,8H@`!
MR?D6MW2M!,)$]V<L00(QT`(P<_@:TK/3H;3#X#3;%4O]%`X].E-O-4AM6:)2
M'G",P4=L*3S^58N;>B.6564O=B69)8;2'=(RQQJ/H!6'J7B!U2,6:@"1=PD8
M<]2.GX5AW5Y/>R;YY"Q[#L/H*+C_`%%I_P!<C_Z&U5&FEN7"@E9R'VLTD^JV
MTDKL[F5.6.>]5*L6'_(1M?\`KJG\Q5>M.IT)698?_D'0_P#763^257JP_P#R
M#H?^NLG\DJO0@CL6+_\`Y"-U_P!=7_F:$_Y!TW_76/\`D]%__P`A&Z_ZZO\`
MS-"?\@Z;_KK'_)Z.@OLHKU8O?]>O_7*+_P!`6J]6+W_7K_URB_\`0%HZE=0M
MO]1=_P#7(?\`H:U7JQ;?ZB[_`.N0_P#0UJO0@6[+%S_J+3_KD?\`T-J++_7M
M_P!<I?\`T!J+G_46G_7(_P#H;467^O;_`*Y2_P#H#4="?LLKUUV@7C7%BL<K
MYD5BJYZE1C_XH5R-:NESF![%AG#7#H?H0@J9JZ(K1YHG84445S'GE#5=/%_:
M,B864$,I]2,X!_,UQ;HT;LCJ593@@]J]#KGO$>G@J+V->1Q)COZ&M:<[:'30
MJV?*S#O_`/D(W7_75_YFBV_U%W_UR'_H:T7_`/R$;K_KJ_\`,T6W^HN_^N0_
M]#6MNAU?917JQ>_Z]?\`KE%_Z`M5ZL7O^O7_`*Y1?^@+1U*ZA9?Z]O\`KE+_
M`.@-5>K%E_KV_P"N4O\`Z`U5Z.HNI8N?]1:?]<C_`.AM18?\A&U_ZZI_,47/
M^HM/^N1_]#:BP_Y"-K_UU3^8HZ"^RRO5A_\`D'0_]=9/Y)5>K#_\@Z'_`*ZR
M?R2@;Z%>K%__`,A&Z_ZZO_,U7JQ?_P#(1NO^NK_S-'4?4$_Y!TW_`%UC_D]5
MZL)_R#IO^NL?\GJO0@74L7O^O7_KE%_Z`M%M_J+O_KD/_0UHO?\`7K_URB_]
M`6BV_P!1=_\`7(?^AK1T)^RBO5BY_P!1:?\`7(_^AM5>K%S_`*BT_P"N1_\`
M0VH8WN@LO]>W_7*7_P!`:HHXWFD"1H7<]`!FK^D6$UW.652L6QU,A'`RI'X]
M:ZBQTZWL(]L2_,?O.>IJ)32,JE90?F9=GX?WVD2WC%2KL^Q#ZA>"?PJEKEMI
M]H$AMDQ/G+'<3@>^36GJVLBWAVVK*SLS(7[*0!GZ]17*,S.Y=V+,3DD]Z4%)
MZLFDIR?-)Z&OXL_Y'+7/^PA/_P"C&K'K8\6?\CEKG_80G_\`1C5CUL]S2A_"
MCZ(*L7/^HM/^N1_]#:J]6+G_`%%I_P!<C_Z&U2RWN@L/^0C:_P#75/YBJ]6+
M#_D(VO\`UU3^8JO1U#J6'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)_)*KT(([%B__
M`.0C=?\`75_YFA/^0=-_UUC_`)/1?_\`(1NO^NK_`,S0G_(.F_ZZQ_R>CH+[
M**]6+W_7K_URB_\`0%JO5B]_UZ_]<HO_`$!:.I74+;_47?\`UR'_`*&M5ZL6
MW^HN_P#KD/\`T-:KT(%NRQ<_ZBT_ZY'_`-#:BR_U[?\`7*7_`-`:BY_U%I_U
MR/\`Z&U%E_KV_P"N4O\`Z`U'0G[+*]:=E82:A;P1)PHED+MZ#"50AA>XF2&-
M<NYP!7;Z?9)86BPH<GJS>IJ)RLC.M4Y5IN2V]O':P+#$NU%'Y^]9^JZREBIB
MBP]P>W9?K_A3KW5D@O(+2+#2O(JO_L@G^=<<Q+,68DL3DD]ZB$+ZLQI4N9WD
M6WFDGL[B25R[M-'DGZ/5.K"?\@Z;_KK'_)ZKULCK2M<L7_\`R$;K_KJ_\S1;
M?ZB[_P"N0_\`0UHO_P#D(W7_`%U?^9HMO]1=_P#7(?\`H:T=!?917JQ>_P"O
M7_KE%_Z`M5ZL7O\`KU_ZY1?^@+1U*ZG5:;,NIZ/LD/S;3$Y[],9_(UR=U;/:
M7+P2?>4]?4>M:OAJY,=ZT!/RRKQ]1S_+-7_$5AYUN+I!\\7#>Z__`%JR3Y96
M.:+]G4Y>C.=N?]1:?]<C_P"AM18?\A&U_P"NJ?S%%S_J+3_KD?\`T-J+#_D(
MVO\`UU3^8K7H;_997JP__(.A_P"NLG\DJO5A_P#D'0_]=9/Y)0-]"O5B_P#^
M0C=?]=7_`)FJ]6+_`/Y"-U_UU?\`F:.H^H)_R#IO^NL?\GJO5A/^0=-_UUC_
M`)/5>A`NI8O?]>O_`%RB_P#0%HMO]1=_]<A_Z&M%[_KU_P"N47_H"T6W^HN_
M^N0_]#6CH3]E%>K%S_J+3_KD?_0VJO5BY_U%I_UR/_H;4,;W067^O;_KE+_Z
M`U7=(T=[Y_-E!6W'X%_8?XU)H6FO<S_:)%Q;@,IS_%D$$#\ZZM55%"J`%`P`
M.U9SG;1'/6K<KM$2.-(HUCC4*BC``[4ZBBL#C"FNZQHSNP55&23V%.KG]?OA
M);2V\3']W(BR$=#D,<?H*<5=E0AS.QDZKJ+:A<D@D0KPB_U^M07_`/R$;K_K
MJ_\`,U7JU=QO+JMQ&BEF:9@`.YR:Z4DCT4E&R0_3K>2Z-Q!$,N\0`S_OK76V
M&GPZ?`$C&7/WG(Y8U'I6FII]L`<&9N7;^@]JS]<U@Q;K2V;Y^DCC^'V'O63;
MF[(Y9R=67+'8=K.M&V9K6V_UN!N?^[D=O>L"T):Y<DDDQ2DD]_D:DO?]>O\`
MURB_]`6BR_U[?]<I?_0&K2,4D=$(*,-"O5BY_P!1:?\`7(_^AM5>K%S_`*BT
M_P"N1_\`0VJBWT"P_P"0C:_]=4_F*KU8L/\`D(VO_75/YBJ]'4.I8?\`Y!T/
M_763^257JP__`"#H?^NLG\DJO0@CL6+_`/Y"-U_UU?\`F:$_Y!TW_76/^3T7
M_P#R$;K_`*ZO_,UT.G6$-YX>CC=0&?<=P'(()`-2Y62(G-1BFSEJL7O^O7_K
ME%_Z`M0R(T4KQN,,A*D>XJ:]_P!>O_7*+_T!:KJ7U"V_U%W_`-<A_P"AK5>K
M%M_J+O\`ZY#_`-#6J]"&MV6+G_46G_7(_P#H;467^O;_`*Y2_P#H#47/^HM/
M^N1_]#:BR_U[?]<I?_0&HZ$_997J];_ZJR_Z^6_]DJC6GI\?FO8*/^?ES^00
M_P!*4M@GHCLJ***Y3S`ILD:RQ-&XRK#!'M3J*`.$U)&34[H,,'S6/X$Y%-M_
M]1=_]<A_Z&M:?B6`1WL<P'^M7GZC_P"MBLRV_P!1=_\`7(?^AK72G>*/2B[P
M3*]6+W_7K_URB_\`0%JO5B]_UZ_]<HO_`$!:KJ7U"R_U[?\`7*7_`-`:J]6+
M+_7M_P!<I?\`T!JKT=1=2Q<_ZBT_ZY'_`-#:BP_Y"-K_`-=4_F*+G_46G_7(
M_P#H;46'_(1M?^NJ?S%'07V65ZL/_P`@Z'_KK)_)*KU8?_D'0_\`763^24#?
M0KU8O_\`D(W7_75_YFJ]6+__`)"-U_UU?^9HZCZ@G_(.F_ZZQ_R>J]6$_P"0
M=-_UUC_D]5Z$"ZEB]_UZ_P#7*+_T!:+;_47?_7(?^AK1>_Z]?^N47_H"T6W,
M%W_UR'_H:TNA/V45ZZ"PT;[;#:RSY6)8R-O0L=['\L$4_1]#X6YO%]TB/\S_
M`(5T59SJ=$<]:MTB-1$AC"(H1%'`'`%<YK&N&3-O:/\`)T:0=_85+J&KBXG>
MTMSF(12;V_O$(>![5S5$(=6%&EK>18?_`)!T/_763^257JP__(.A_P"NLG\D
MJO6J.F.QL>+/^1RUS_L(3_\`HQJQZV/%G_(Y:Y_V$)__`$8U8]4]R*'\*/H@
MJQ<_ZBT_ZY'_`-#:J]6+G_46G_7(_P#H;5++>Z"P_P"0C:_]=4_F*KU8L/\`
MD(VO_75/YBJ]'4.I8?\`Y!T/_763^257JP__`"#H?^NLG\DJO0@CL6+_`/Y"
M-U_UU?\`F:$_Y!TW_76/^3T7_P#R$;K_`*ZO_,T)_P`@Z;_KK'_)Z.@OLHKU
M8O?]>O\`URB_]`6J]6+W_7K_`-<HO_0%HZE=0MO]1=_]<A_Z&M5ZL6W^HN_^
MN0_]#6J]"!;LL7/^HM/^N1_]#:BR_P!>W_7*7_T!J+C_`%%I_P!<C_Z&U7O#
M]H;B_P#,(S%&IW9'7((Q^M)NR(D[0;-;0=-^S0?:95_?2#@'^%:FUG4C86X$
M?,TF0I[+ZG]:LW]ZEA:-,_)Z*O\`>/I7(74\ES:1S2MN=II"3^"5E%.3NSEI
MQ=27-(99$MJ=LS$DF922>_(JM5BP_P"0C:_]=4_F*KUMU.Q;EA/^0=-_UUC_
M`)/5>K"?\@Z;_KK'_)ZKT(:ZEB__`.0C=?\`75_YFBV_U%W_`-<A_P"AK1?_
M`/(1NO\`KJ_\S1;?ZB[_`.N0_P#0UHZ$_917JQ>_Z]?^N47_`*`M5ZL7O^O7
M_KE%_P"@+1U*ZDFER^1?I+C.Q';\D)KM_EECYPR,/S!KA++_`%[?]<I?_0&K
MK]'F\[2K=NX7:?PX_I655=3DQ*UN<SJ]M]CGA@SD+&<?0NQ'Z56L/^0C:_\`
M75/YBMOQ/;Y$%R!T^1OYC^M8EA_R$;7_`*ZI_,5<7>)M3ES4[E>K#_\`(.A_
MZZR?R2J]6'_Y!T/_`%UD_DE4:/H5ZL7_`/R$;K_KJ_\`,U7JQ?\`_(1NO^NK
M_P`S1U'U!/\`D'3?]=8_Y/5>K"?\@Z;_`*ZQ_P`GJO0@74L7O^O7_KE%_P"@
M+1;?ZB[_`.N0_P#0UHO?]>O_`%RB_P#0%HMO]1=_]<A_Z&M'0G[**];-CI;:
M@+0MD0)$=S>OSMP*H6%C)?W2Q)PO5F_NBNWMX([:!(8AA$&!6=25M$95ZG+H
MMQT<:11K'&H5%&`!VIU%%8'"%%%&<4`9^KZ@+"T)4CSGX0?U_"N34EM/G)))
M,T9)/?AZ=J5\U_>-*<A!P@]!3$_Y!TW_`%UC_D]=$8\J.^G3Y(^97KK]-TWR
M[VYO)5^=Y7\L>@R>?QKGM)L3?WRH1^[7YG/MZ?C797-PEK;O-(<*@S]?:IJ/
MHB,1/7E14U:^^RVDJQMB?9N'L-P&?UKBR222223U)JZ;F2[:^GD.6:(?@-Z\
M51JX1LC2E#D18O?]>O\`URB_]`6BR_U[?]<I?_0&HO?]>O\`URB_]`6BR_U[
M?]<I?_0&JNA?V2O5BY_U%I_UR/\`Z&U5ZL7/^HM/^N1_]#:@;Z!8?\A&U_ZZ
MI_,57JQ8?\A&U_ZZI_,57HZAU+#_`/(.A_ZZR?R2J]6'_P"0=#_UUD_DE5Z$
M$=BQ?_\`(1NO^NK_`,S74^'R3H\0]&8?K7+7_P#R$;K_`*ZO_,UU/A\?\2B/
MW9OYUG4^$PK_`,-&#K\/DZM(1TD`<?R_F#52]_UZ_P#7*/\`]`6MKQ1%_P`>
M\H'JI_F/ZUBWO^O7_KE%_P"@+50=TBZ3O%!;?ZB[_P"N0_\`0UJO5BV_U%W_
M`-<A_P"AK5>J1JMV6+G_`%%I_P!<C_Z&U%E_KV_ZY2_^@-1<_P"HM/\`KD?_
M`$-J++_7M_URE_\`0&HZ$_997KHO#L'F*DQ`Q$\GYD)_3-<[78Z!;F#2T+=9
M6,F/8]/T%14=D9UW:!J4445SG`%%%%`&)XFCW6$;@?=DQ^!!_P#K5SMM_J+O
M_KD/_0UKJO$`SH\OL5_G7*V_^HN_^N0_]#6MZ?PG;0?N%>K%[_KU_P"N47_H
M"U7JQ>_Z]?\`KE%_Z`M:=3HZA9?Z]O\`KE+_`.@-5>K%E_KV_P"N4O\`Z`U5
MZ.HNI8N?]1:?]<C_`.AM18?\A&U_ZZI_,47/^HM/^N1_]#:BP_Y"-K_UU3^8
MHZ"^RRO5A_\`D'0_]=9/Y)5>K#_\@Z'_`*ZR?R2@;Z%>K%__`,A&Z_ZZO_,U
M7JQ?_P#(1NO^NK_S-'4?4$_Y!TW_`%UC_D]5ZL)_R#IO^NL?\GJOUZ4(2ZEB
M\!-P@`R3%%_Z`M=%HFD&U4SW`_>.,!#_``C(//OP*ET[2D21+N89D\M`JD?<
MPH'Y\5K5C.>ED<=6M=<J"L'Q!J;0J+6$X+KEW![9(P/R-6]9U,6%OLC/[^0?
M+_LCUKEKHDPVA)))B))/^^]%.-]6%&G=J3$LO]>W_7*7_P!`:J]6++_7M_UR
ME_\`0&JO6W4[.I8?_D'0_P#763^257JP_P#R#H?^NLG\DJO0@CL;'BS_`)'+
M7/\`L(3_`/HQJQZV/%G_`".6N?\`80G_`/1C5CU3W(H?PH^B"K%S_J+3_KD?
M_0VJO5BY_P!1:?\`7(_^AM4LM[H+#_D(VO\`UU3^8JO5BP_Y"-K_`-=4_F*K
MT=0ZEA_^0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2J]"".Q8O_P#D(W7_`%U?^9H3
M_D'3?]=8_P"3T7__`"$;K_KJ_P#,T)_R#IO^NL?\GHZ"^RBO5B]_UZ_]<HO_
M`$!:KU8O?]>O_7*+_P!`6CJ5U"V_U%W_`-<A_P"AK5>K%M_J+O\`ZY#_`-#6
MJ]"!;LLS@M#9@`DF(@`?[[5V&F68L+%(CC?]YS[UB:1:?:;FSD892&$M^.]\
M?X_A6MJUVL,!MQ]^6.3\`$)S_*L9N[Y4<E63D^1'.:QJ!O[P[3^YC^5!Z^I_
M&JS_`/(.A_ZZR?R2J]6'_P"0=#_UUD_DE:I6LCI45%)(+#_D(VO_`%U3^8JO
M5BP_Y"-K_P!=4_F*KT^H^I83_D'3?]=8_P"3U7JPG_(.F_ZZQ_R>J]"&NI8O
M_P#D(W7_`%U?^9HMO]1=_P#7(?\`H:T7_P#R$;K_`*ZO_,T6W^HN_P#KD/\`
MT-:.A/V45ZL7O^O7_KE%_P"@+5>MVV\-:UKEPG]FZ9<W"^5'\ZIA/N+_`!'C
M]:.HISC#63L95E_KV_ZY2_\`H#5T?AJ0MISJ3]V0X^F!6A8?"WQ29"7MK:)F
MC=?+:Z0MRI`Z$^M:6D?#_P`4:5#.MSI;$%@5,<B/GCV.:BHFT<=;%49)I21C
MZW%YND3CNH##\#7)6'_(1M?^NJ?S%=_JNEWL%A<K<6=Q"#&PS)$RXX]ZX32X
M9;C5+5(8GD?S5.U%)/4=A2I[-%X><7!ZE.K#_P#(.A_ZZR?R2MC4_"E[H>A0
MZAJRFUGNI`MM:M_K&4#+.P_A`^48ZY/:L=_^0=#_`-=9/Y)6C.B-2,[.+NBO
M5B__`.0C=?\`75_YFJ]6+_\`Y"-U_P!=7_F:.IIU!/\`D'3?]=8_Y/5>M;1]
M&U'7(I;33+.6ZG,L9*QCH,/R3T`]S73/\+-0L(TEUO6=(TI&'`GN,OGTQC!_
M`TT83Q-*F[2>IQ=[_KU_ZY1?^@+3[&)YUN8HU+.T8``_WUKH]7\.:+;N-OB_
M3WD\M`%^SS$'"@=55NO6F:!IIM83<R@B61>!_=6HD^6)/MXN%U^1>TVP33[4
M1K@N>7;U-7*DA@FN)!'!$\KGHJ*6/Y"M>+PCK\R!ETR4`_WRJG\B17/9O4X9
MU8IWDS$HJ[J&DW^E.J7UK)"6^Z6'!^A'!JE2M8:DI*Z"L;5-0VW]K91GDRH9
M"/3(P*T;VZ2RM))W_A'`]3V%<;:RO/JT$LAR[SJ2?^!"M(1OJ=%&G>\F5*L)
M_P`@Z;_KK'_)ZKUIZ5:_;`82,KY\9;Z`/FMY.RN=DW:-S>T*R^R6`=A^\F^9
MO8=A_GUK,\27WF3+:(?E3YG]SZ5T-U.MK:R3-T1<X_D*XG4#G4;HG_GJ_P#,
MUC#WI79S45SS<F);?ZB[_P"N0_\`0UJO5BV_U%W_`-<A_P"AK5>MD=:ZEB]_
MUZ_]<HO_`$!:++_7M_URE_\`0&HO?]>O_7*+_P!`6BR_U[?]<I?_`$!J.A/V
M2O5BY_U%I_UR/_H;57JQ<_ZBT_ZY'_T-J!OH%A_R$;7_`*ZI_,57JQ8?\A&U
M_P"NJ?S%5Z.H=2P__(.A_P"NLG\DJO5A_P#D'0_]=9/Y)5>A!'8L7_\`R$;K
M_KJ_\S77Z/'Y6DVR^J[OS.?ZUR-ZI?4[A5&29F`'_`C7<Q1B*%(QT10H_"LJ
MCT2.;$/W4C*\2Q[],5O[D@/Z$5S5[_KU_P"N47_H"UU6OC.CS'T*G]17*WO^
MO7_KE%_Z`M.EL5AWH%M_J+O_`*Y#_P!#6J]6+;_47?\`UR'_`*&M5ZT1T+=E
MBY_U%I_UR/\`Z&U%E_KV_P"N4O\`Z`U%S_J+3_KD?_0VHLO]>W_7*7_T!J.A
M/V6%C:M>7L4`Z,?F/H.]=XJA5"J,`#`%8GARR\JW:Z<?/+PN>R__`%S_`"K<
MK"I*[L<=>?-*W8****S,`HHHH`S-?.-'E^J_S%<K;?ZB[_ZY#_T-:Z7Q(^W2
MPO\`?D`_F?Z5S5M_J+O_`*Y#_P!#6MZ?PG;0^#YE>K%[_KU_ZY1?^@+5>K%[
M_KU_ZY1?^@+6G4Z.H67^O;_KE+_Z`U5ZL67^O;_KE+_Z`U5Z.HNI8N?]1:?]
M<C_Z&U%A_P`A&U_ZZI_,47/^HM/^N1_]#:BP_P"0C:_]=4_F*.@OLLKU8?\`
MY!T/_763^257JP__`"#H?^NLG\DH&^A7JQ?_`/(1NO\`KJ_\S5>K%_\`\A&Z
M_P"NK_S-'4?4$_Y!TW_76/\`D];NAZ/L"W=ROS'F-#V]S3=`TW?`9KA/D+J\
M8/<C//TYKHJQG/HCDK5=XH*ANKA+2VDGD^Z@S]?:IJYK5]0^TM=V\9S%%&,^
M[;UJ(QNS"G#F=C%N[F2\N7GD/S,>GH/2G7/^HM/^N1_]#:J]6+G_`%%I_P!<
MC_Z&U=)Z-K62"R_U[?\`7*7_`-`:J]6++_7M_P!<I?\`T!JKT=0ZEA_^0=#_
M`-=9/Y)5>K#_`/(.A_ZZR?R2J]"".QL>+/\`D<M<_P"PA/\`^C&K'K8\6?\`
M(Y:Y_P!A"?\`]&-6/5/<BA_"CZ(*L7/^HM/^N1_]#:J]6+G_`%%I_P!<C_Z&
MU2RWN@L/^0C:_P#75/YBJ]6+#_D(VO\`UU3^8JO1U#J6'_Y!T/\`UUD_DE5Z
ML/\`\@Z'_KK)_)*KT(([%B__`.0C=?\`75_YFA/^0=-_UUC_`)/1?_\`(1NO
M^NK_`,S0G_(.F_ZZQ_R>CH+[**]6+W_7K_URB_\`0%JO5B]_UZ_]<HO_`$!:
M.I74+;_47?\`UR'_`*&M5ZL6_P#J+O\`ZY#_`-#6HH8S-/'$.KL%'XF@6USL
MM$B,>DP;AABI/X$DC^=<_<W?VS6)Y`<H(I53Z!&KHM3F%EI,A3@A=B?CQ7(6
M7^O;_KE+_P"@-64%>[.:DK\TRO5A_P#D'0_]=9/Y)5>K#_\`(.A_ZZR?R2M3
MI?0+#_D(VO\`UU3^8JO5BP_Y"-K_`-=4_F*KT=0ZEA/^0=-_UUC_`)/5>K"?
M\@Z;_KK'_)ZKT(:ZEB__`.0C=?\`75_YFG64;S+<Q1(SR/&JJJC)8F1,`#N:
M;?\`_(1NO^NK_P`S75>%U.@>'-0\4E0;G/V2P5AP')&^3'?:",>YHZ&-6IR0
M36_01K32O!L:C4K:+4]>*[OL;G-O:9Z>9C[[_P"ST'Y52U;7_$/B"[%LUY<2
MHT`86L)VQA?+#-A%XP!FN==WED:21V=V)9F8Y))ZDFO1/A7IWV[X@PS,F8[2
MR\ULCCF-4Q_X\?RI]3"K&-&#JSU:7]6.!LO]>W_7*7_T!J]$^'WBGQ)$K06U
MS/>@R!4@F)D'3H,\@?0XKB4L'/B6XTZT1G?S)H(4'5CAE4?RKW[0_#MI\._!
M=Q.NV2_\O?-,?XI#@!1Z+G`J6<V85J:@HM7<MBXWCNPLI/L^JQ&WN47,JQ'S
M50^A([_3/UK'O/C#X8BV)IXGO)Y&"JJQ&-03W);''T!KS>_F8VMU-(Q9BC,Q
M)Y)P:X>P_P"0C:_]=4_F*4)MIF%#*Z4ES2N:'B7Q+?\`BK5WU"_89/RQQK]V
M->RC_'O6>_\`R#H?^NLG\DJO5E@6T^``$DS2``?1*H]J,(TXJ,=$BM6UI^C3
M^(?%ZZ5;L%DN;EEW$9"@$EC[X`)_"L9E*L58$,#@@]0:])^%!C'Q/N`^-QCG
M"9]=PZ?AFCJ98JHZ=*4X]$SJ/&6NVWPX\/P^'O#2)%=LJF68KEE#;OF)[L2I
M^GITKQ*XN)[N=[BYFDFF<Y:21BS,?<GDUV?Q.>1_&VN^83E;B``'L/*.*XVU
MMY+NY2",99CCZ#UIW,,!1C"BIO=ZMFSI^F_;-06:09ABBB_X$VQ>*]=\-^`9
M;Y$N]5+0VYY6$<.X]_0?K]*L^`/!206MOJ-_'NVJOV>-AZ#AV]_3\_2MWQIX
MG&B68M;5A]NG7Y3_`,\U_O?X?_6K/ETYI'E8K&3JU/942CKGB/3?"D3:;HUK
M#]JQ\VT?+'_O'JQ_R:\\OM5O]3D,E[=RS$G.&;Y1]!T'X549F=BS,69CDDG)
M)J>PL9]2O8K2V3?+(V`.P]S[5E*3DS:E0A1C=[]SL(7GN?A5>-=$R>5.H@9N
M2%WH.#]2PKAZ[CQ;J%MI>C6_ABQ</Y0!N''J.<?4GDUYSJU\+"Q9P?WC?*GU
M]:<E=I!@XN2;MN]#&\17:S^6D9.R.1T/H2`O^)%9-A_R$;7_`*ZI_,4LA)T^
M$GDF:3^24EA_R$;7_KJG\Q6R5HV/:C'EA8KUTOA>,B*YE/1F51]0#_C7-5VN
MBP^3I,`[L-Y_'G^534?ND8AVA8H^)KDI;Q6X/^L.YOH/_K_RK`O_`/D(W7_7
M5_YFK>O3>=JT@[1@(/Y_S)JI?_\`(1NO^NK_`,S3@K)%48\L4%M_J+O_`*Y#
M_P!#6J]6+;_47?\`UR'_`*&M=!X.\#:EXSEN!9R100VX&^67.,GH!@<GBJ0Z
ME6%*+G-V1S][_KU_ZY1?^@+19?Z]O^N4O_H#5T?CKPK_`,(GJ%K:R:A%<W$D
M(9TC0CRP`%!.3WP?RKG;%6:=\`G$,I.!T&QJ.@H5(SI\\7H5JL7/^HM/^N1_
M]#:J]6+G_46G_7(_^AM0:/H%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L/
M_P`@Z'_KK)_)*KU8?_D'0_\`763^257H01V-:V@^T>)G7&0L[N?P)-=?6)H]
MO_Q,M0N2/^6K(OYY/]*VZYYN[.&M*\K&;KW_`"!I_P#@/_H0KE+W_7K_`-<H
MO_0%KJ?$+8TB0?WF4?K7+7O^O7_KE%_Z`M:4MC?#;!;?ZB[_`.N0_P#0UJO5
MBV_U%W_UR'_H:U7K1'0MV6+C_46G_7(_^AM4^CVYN=16/!VE'#$=@5(_K4%S
M_J+3_KD?_0VKJ=#T_P"Q6>^08FEY;V'85$Y6B8U)\L#3151`BC"J,`#M2UU&
MB^!]0UFP2]6:&"%R=N_.X@<9QCI6#J-HMAJ,]HDZSB)MAD48!(Z_KD5@XM*[
M/,C6A.3BGJBK1112-`HHHH`R-5L[G5]2T[2;-0T]Q)A0?4\9/L.2:V]:^%=Q
MX8\.7^IW^L6VU8@H2.)B68LN`/J1C]:ZWX8>'_M.LWGB.X3*0C[+:Y]1]]OU
MV_G6)\8/$_V_4YM!MWS!8Q!YL?Q2EEP/P4_^/'TKJ@K1,5B:L\1&A2>BW/)*
ML7O^O7_KE%_Z`M5ZL7O^O7_KE%_Z`M/J>WU"R_U[?]<I?_0&JO5BR_U[?]<I
M?_0&JO1U%U+%S_J+3_KD?_0VHL/^0C:_]=4_F*+G_46G_7(_^AM18?\`(1M?
M^NJ?S%'07V65ZL/_`,@Z'_KK)_)*KU8?_D'0_P#763^24#?0KUNVFE&^U>YE
ME!^SI,V?]HYZ5FZ=8/J%T(ER%'+MZ"NY55084`#)/'K6=25M$85ZG+H@````
M&`.@%+103@9-8'$9VM7_`-ALCL.)9/E3V]37)V_^HN_^N0_]#6K6N7)N-28A
MLQA%V?0@'^M5;;_47?\`UR'_`*&M=$(VB=]*'+`KU8N?]1:?]<C_`.AM5>K%
MS_J+3_KD?_0VJV:O=!9?Z]O^N4O_`*`U5ZL67^O;_KE+_P"@-5>CJ'4L/_R#
MH?\`KK)_)*KU8?\`Y!T/_763^257H01V-CQ9_P`CEKG_`&$)_P#T8U8];'BS
M_D<M<_["$_\`Z,:L>J>Y%#^%'T058N?]1:?]<C_Z&U5ZL7/^HM/^N1_]#:I9
M;W06'_(1M?\`KJG\Q5>K%A_R$;7_`*ZI_,57HZAU+#_\@Z'_`*ZR?R2J]6'_
M`.0=#_UUD_DE5Z$$=BQ?_P#(1NO^NK_S-"?\@Z;_`*ZQ_P`GHO\`_D(W7_75
M_P"9H3_D'3?]=8_Y/1T%]E%>K%[_`*]?^N47_H"U7JQ>_P"O7_KE%_Z`M'4K
MJ%M_J+O_`*Y#_P!#6K6A1>;J\7H@+'\JJV_^HN_^N0_]#6M3PPF;Z5_[L>/S
M(_PJ9.R9G4=HR+/BB;$=O#ZDN?PX'\S6%9?Z]O\`KE+_`.@-6EXF)_M&,9X\
MH?S-9ME_KV_ZY2?^@-1!>Z325J97JP__`"#H?^NLG\DJO5A_^0=#_P!=9/Y)
M5&KZ!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+"?\`(.F_ZZQ_R>J]6$_Y
M!TW_`%UC_D]5Z$-=2Q?_`/(1NO\`KJ_\S76^(`(O!?AR&,?N?[/EESZNUPN[
M^0KDK_\`Y"-U_P!=7_F:Z/1M<T^?P]+HFO6]Q):09EM[BU*^=#N==R@-P5)P
M3D__`%CH<U>,K0FM;,Y2O>/!%I#X*\"7WBC4`%EN;>-T4\':J`(OU9B?S%>>
MZ==>`-&NTNWCU?5I$^9(98TCBSVW<Y/\O:J_C?QOJ7BJYCBF"V]C&JO%:QG@
M$J#EC_$><=OI3ZG+B%/%-4TFH]6SHO@UHC:MXIN=;N076R&58CAI7SS^`W?F
M*](^)5YY.B6]JK8,\V2/55&?YE:?\,-"_L/P/9B1-MQ=?Z3+D8.6Z`_1=HKG
M/B1>^?KT-J#E;>+GV9N3^FVIJ.T3R9S]OC;K9?H>>:W+Y6D3GNP"C\37)6'_
M`"$;7_KJG\Q7H7CWPZNF^$-+U**[\X73KO0)PN5)Z^W3FO/;#_D(VO\`UU3^
M8J81M'4]["SC.DY1*]>I?!Z_T2PO)Y-5GMX+ABPM9)R%`^[N`)X!/R_K7GFC
M:/>Z]JL&FZ?%YEQ,<`=`!W)/8"NRU3X5:[I/A^2]OKK388;7?+(3*YX(4`#"
M\DD8_$5H3C)4I1]C.5FR'XM:IIFK>,EFTN>&>-+5(Y)82"K/N8\$<-P5Y_#M
M7-6^J7.B>*/[2LVVSV]RSKGH>3D'V(R/QK)JQ?\`_(1NO^NK_P`S0]S:E0C"
MFJ6ZL>G^+;>V^(6D?\)#X>7S-0C5!?V`.95"AL$#^+[QZ=0/48J+X7>#3J%^
M;J]B(BBPTBL/R3\>I]A7%^&1.)VEM[B2!XI4??&Y5L8?C(^M?3?A^&XBT6V:
M\;?=2('E<J`23S@XZX&!^%3N['CXVI/"4W1B]'MW19U&^@TG39KR;B*%,X'?
MT`^IP*\,U&_GU34)KRX;=+*V<>@[`>P'%>A^._$<5I/'IALX;KY1+()2VT'^
M'@$9[G\JYK3-1UK4K@P:+8V=LX&7>W@5=H]2S9Q^=14=W8Y,'!TX>T:WZLSK
M;PY?S1">X5+*U[S73;!^`/)_`5=&MV>AVKVVA!GN9!MEU"1<,1Z(O\(^M1W6
MDR7=SMN/$%C<79.`&F=AGTWD8_6L2XMYK2XDM[B,QRQMM93U!K-^[L=D4JOQ
M/Y?UN1LS.Q9F+,QR23DDUQ>M7WVV^;:<Q1_*GOZFNU&G:EJB/:Z99S7$[HP_
M=CA/E."2>!SQS67/\+?%%NB[[:V-PR[A;"Z3S2.^!GG\#VJZ4>IVT:M*#]Z2
M3.4?_D'0_P#763^246'_`"$;7_KJG\Q3[B*2&S2*5&CD2>571Q@J0$R".QJU
MX=TF^UG6[:WL+9YI%<.V.`B@Y)8G@#ZUKT.UR2@Y-Z&6`20`,D]J]!C011(@
MX"J!^596H>`M:T2&TU&9;>YL))54W%I*)$4EL<_CQGIFNJLO#NI:K:M);I''
M&^4269PBLW0`9ZG/I6=1-M(XZ^(IR2DI:'ED\GG7$LO]]RW/N:DO_P#D(W7_
M`%U?^9JSK>AZAX=U-]/U*`PW"C=C.0RGHP(Z@U6O_P#D(W7_`%U?^9K0[82C
M))QV'6<;RI<QQHSR/&JJJC)),B8`%?3G@SP\GA#PA!:,@-P%,UP5QEY",D9[
MXX4>P%<#\'O!!0#Q)J*$%UQ:0L.V?]81^''Y^E3_`!L\4>19P>'+9SYD^)KG
M'9`?E7\2,_@/6J6AX>-JO%UUAJ>U]3A/'&B^([G5+_Q#J6GM#!(49B94;RP0
M%"\'/!P*]"^$VM>&]/\`!K)->V=M?!Y&NA,ZHS#/!YZC;CI[UYCHG@W6/%UY
M(FF11[(((C)+*VU`2BX&<'GK^56]<\`:IX0ACN=3NK$^<LJ1Q0R,SM^[8DX*
M@8'U[BDGI<Z:T*52FL-*=FNQSFNW%O=^(=3N;/'V6:ZEDAPNWY"Y*\=N,<57
MN?\`46G_`%R/_H;57KLM.^'NNZW86,L*VT!DA;R8KF7RY)@&8DJO4C!!S[T,
M]"<Z=&,>9V1RMA_R$;7_`*ZI_,57K7M]&U*V\40:3+9RB_2X56@`RP.0>W;'
M.>F.:U+_`.'?B#3M'EU.2*WEA@_X^%@G61H>,G<!Z<9QG\J.H.O2C)7DM=CG
M'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)_)*T?#.AWNNZLD-I:2SB/YY-BD@#MD]!
MD^M+H6YJ$7*1T]O`((V4?Q.SGZDDU+70R>"]7MXA)="VM@QP!-<*N3Z=<5BW
M=G/873VUS&8YD^\I(/OU%<K36YY4:L)OW7<YOQ/(!9PQYY:3./H/_KUS][_K
MU_ZY1?\`H"UU]SX9U3Q'=9M5AAM+90)+JYD$<2LW\.X]3TX&>HK'\5^&M4\-
M:C'!J5OY>^)?+D4[DDVJ`<'V/XUO35DCMH5:::A?4R+;_47?_7(?^AK5>NTT
MOX<>)+RQG=;:&.:6#?':RS*LSJ&4YV'D#MSCFN42QN'OS9&-DG5RCJPP4(.#
MGZ5>QM"M3FVHN]C6TG3OM3VD\@_<Q1'\6WM@5VNBZ7)K.K6]C'D>8WSL/X5'
M4_E6996@@AAM8%9L850!DL3_`%)KV?P?X;30M/\`,E`-[,,RMUVC^Z/IW]_P
MK%+GEY'DX[%<D6^O0NZN9]-\/O#I<&9EC$4"*0-O&,\^@YKQN_TN^TPI]M@,
M1DSMRP.<=>A]ZVO'&M?VKKK11MFWM<QIZ%OXC^?'X5FZ=X=U;55WV=E(\?\`
MST;"K^9QG\*)OF=D<V%A[&'--VN9=%:]QX;OK?S5#6TTD(+210SJ[H!U)7KQ
M4Y\&ZZD#SS68AA1"[/)*H``&>><UGROL=7MJ?=&#4]G:37]Y#:6Z[IIF"*/<
M]S[5!7J_@;PR-+M/M]VG^F3#A2.8E]/J>_Y4X1YF1B:ZHPOU+FL7]IX$\$2S
M1JNVUBVQ*>/,D/3/U8Y/XFOF3[1-=OJ-S<.9)IE,DCGJS&123^=>A_&?Q/\`
MVCK<6AV[YM['YI<=&E(_]E!_\>/I7F]M_J+O_KD/_0UKJ9T97AW3I>TEO(KU
M8O?]>O\`URB_]`6J]6+W_7K_`-<HO_0%I=3U>H67^O;_`*Y2_P#H#57JQ9?Z
M]O\`KE+_`.@-5>CJ+J6+G_46G_7(_P#H;46'_(1M?^NJ?S%%S_J+3_KD?_0V
MHL/^0C:_]=4_F*.@OLLKU;6)YK.VBC4L[32``?1*J5UF@6/E6232I\Y9F3/8
M$#_"IG*RN35GR*Y=TVP33[41+RYY=O4U<HHKF;N>>VV[L*RM>O?LM@8U.))O
ME'L.Y_SZUJUQ6L7GVS478',:?(GT'>KIQNS6C#FD5[W_`%Z_]<HO_0%HMO\`
M47?_`%R'_H:T7O\`KU_ZY1?^@+1;?ZB[_P"N0_\`0UKHZ';]E%>K%S_J+3_K
MD?\`T-JKU8N?]1:?]<C_`.AM0QO=!9?Z]O\`KE+_`.@-5>K%E_KV_P"N4O\`
MZ`U5Z.H=2P__`"#H?^NLG\DJO5A_^0=#_P!=9/Y)5>A!'8V/%G_(Y:Y_V$)_
M_1C5CUL>+/\`D<M<_P"PA/\`^C&K'JGN10_A1]$%6+G_`%%I_P!<C_Z&U5ZL
M7/\`J+3_`*Y'_P!#:I9;W06'_(1M?^NJ?S%5ZL6'_(1M?^NJ?S%5Z.H=2P__
M`"#H?^NLG\DJO5A_^0=#_P!=9/Y)5>A!'8L7_P#R$;K_`*ZO_,T)_P`@Z;_K
MK'_)Z+__`)"-U_UU?^9H3_D'3?\`76/^3T=!?917JQ>_Z]?^N47_`*`M5ZL7
MO^O7_KE%_P"@+1U*ZA;?ZB[_`.N0_P#0UK8\+?ZZY_W5_F:Q[;_47?\`UR'_
M`*&M:OA=P+N=.YCS^1_^O43^%F57X&1^)O\`D)1_]<A_,UG67^O;_KE+_P"@
M-6EXF_Y"4?\`UQ'\S6;9?Z]O^N4O_H#4X_"%/^&5ZL/_`,@Z'_KK)_)*KU8?
M_D'0_P#763^251H^@6'_`"$;7_KJG\Q5>K%A_P`A&U_ZZI_,57HZAU+"?\@Z
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MHUG)EB?](=3T']W_`!_*L+0DCUZ^TW1(XC%9Q`SW*[N9F'4GVZ*/0&LYM2=C
MP<-3E3INH^OY'3^&='GU@W&KZKN6QO(?(@TMN85A!.TE3QDC&/;Z\>)^*-,L
M=(^(EQI^F$FUBNHPBYSM)VDJ#WP21^%>]^//%47A#PS)<IM^UR_NK6/'!?'4
MCT`Y_(=Z\4\&V8MYQXIU2/[1(]R(=/BE_P"7BZ9A\Y]57.2?7OD5I;2QU8"<
MXJ==[;)=V>H?"OPC'X>TZ6XN8P=4F`$Y//D@\B,>^""WN0.<5S?QM\2EQ;:!
M;290-YEUM/\`$`"JG\&#?B*]'N;JW\%^#9+JZE,OV6(O([?>FE;DGZLQ_6OG
M6WM=0\9:O$"^ZZO+J:6:5ONQKA"S'T4#^@H9."BZU>6)J[(V-%^&-WJ147NL
MZ78.W2%IUDE_%5./UK7UCX+Z\+F2>PN[.Z21B^TL8V&3GOD?K7!>(3I7]L2Q
MZ+$RV,6(T=V+&4C@N<],GG'IBMW2+W5FU&ZQJ=ZEI#(RK$MPX3.3QC.,#_"E
M)I:L]*:Q.E13^31T.F>$+G0IK"RU`0I/<3HLD8E5FY(&2`>G:O>APOX5X#8W
M/V;4K:Z?)\J99#ZG!!KW>>3=8220D-F(LA'?CBHI.]V>+F/.Y1<V>'Z[?'4M
M<O;O<&$DIVD?W1POZ`5T]W)_8OPXM([;Y9M1?,KC@E>21^0`_.N(K7N=9%WX
M:M=,E5O-M92T;CH4(/!]P?TK)2W.ZI2NH);)F1792:%+K_BU+0DH(K:$WDF.
M00BY_$]/_P!58FAV432/J5Z,6%H0S_\`31_X8QZD_P`J]$\`YN-,O-2E(:XN
M[EF<_3H/H,G\ZJG&^YCBJKA[T>FGWDGB+5;'P+X4DDM88T=5*VT7]]]I//KP
M"2?:OG&UO]0U3Q3:7DUQ)/?RW<;"1SSOW#'TY[#I7<?%G7'U'QL=.1R8-/MI
M$QV\QHRS'\MH_"L;X8Z0M]XH&I7"_P"A:4OVJ4[<_,/N`>^>1_NUOUL=.#I1
MH8:5:>[5_P#(T?B1IC:G\19-/TR+?<W$X4H.!O,41)^F.2?K38VVZI8^"/##
M^8K3K_:%ZG!N7!RW/_/-!GCOCOWGU_59M!M+^\N`R>)-9ED8`$;K"!MORDCH
MY4*/4#T/7J/@MX5^R:?+XBNH\2W(,=MD?=C!Y;\2/R'O0D3.K[/#*4MEHO-]
M_D=GK*:-X:\%+8W2XL8T2WCB!^:1L@*/J3U/U-<SX4LKGQ+K@U2\`%G9D>3$
MHPBD?=51Z#@_E7'_`!,\2OKWCJSTBS<O;6$ZQA5/#S%AN_+A?8[O6O8"]IX.
M\)[W&8[6+)"]9']O<FDU=^1P2IRHT8_S3/(?CE<PR>)M/MTP98K7,A'H6.!^
MA_.N=\.Z##J&LWNIZC&S:79SG?&H^:YE+'9"GJ2<9]OK67-)JOCGQ8[A?,O;
MZ7@9^5%[<]E4#KZ"O7?"%A;:SXL;[&/^)%H#%8/^GB[;[\I]<<X],C'6GU/4
MJ3>%PRIWU2U.]6=-!\.RWNHLJ>3$9I]@^5<#.U1Z``*/H.]?,TS:GXZ\7RR1
MIOO+^8D`GY8U[9./NJH'/H*]4^,WB119GP[`V7,:W%SCL`ZA%_'D_@/6L?X:
MZ$BV:17*^5>:SRA'WQ9H07/LKG"^I!R.E,Y,'_L]"6(?Q/8]8\*:39Z)X<MK
M:S`,00$RD8,O`&\_4`?ABO!?'7BG_A*/&-Q)"Y:QM8I8;?G(("-EA]3S],5Z
MQ\5O$X\/>%&L[9PM[?@PQ[3@HF/G;VX./J17BWA#1X+F6[U;4U;^R+")FG"G
M!F)4@1*?4_H/2D]K%9=3LI8JI\B;PYIMGIFF-XIUF(2VT3E+&S;_`)>YAZ_[
M"]3^7L?4_A?IUWJ\TGC+5W,EU<1F"#(P%4.Q)`[#H!]#ZUY>S7'Q!\866FV$
M)MK!<0VL`Z6\"\DGWQR3W.!Z5[EXIU>U\!^!F:U58S#$+>SC/.7QA?KCDGV!
MICQ\Y.U/[<OP7;_,X+QYXFA3QJ=,\/Q$ZG<M%;7ETG+%0?\`5)Z=?F(]AVKL
MM,T&U\$?#.\MY]K,MM+-=-_?<KR/Y*/H*X'X*Z'_`&CKE[K]V&D-K\L;N<[I
M7R6;/7('_H57/C+XSW-_PC%BYPI5[QP>O=4_D3^'O1YF<Z+E6CA:?2UV<EX"
M\$R>,IXTD<Q6%M*S7$@ZG(7"CW.#SVKWJ<Z5X+\/'[-;1P6\(Q'%&,;V/0>Y
M/<_C7/\`P?LH[7X>VDRIM>YEEED..20Y4?HHJIXV\1P+JWV!M/ANOLP!#3,V
MT.1G[H(!XQU]ZF3Y498FI/$XAT_LKH<V3?>)]1EO[^?R[:/F:9ON0I_=4>OH
M.I-/94\1ZW<73L;;3;=`9)&_Y9Q*,#_@1QT]36?>:G?:N\5NV!&&`AMH4"HI
M/`PH[_K4?C2[.DZ)'H-B2TC%1=%.2\[=5XZA1P/>L%J=:@^916C_`"19\+B;
MXA>-H7$)@\.Z.1)#;#[N0?DW>K,?F)YX!'>NL^*OB+3M#MK`M`EQJZ,TEFK\
MK"<;?,8=\9X![\]JV?!>@V_@CP6HNV2.4(;F]E)X#8R>?0`8_"O(;2-_B)\6
M(Y+A7-I*5F9&/W(50$+^/`..[$UT^1A!0K5G/[$%]_\`PYZ#\*/#=U!;7'B?
M5VDDU'4A\K2G+"/.<G_>P#]`*XG6;>!O%VL7\8&9KE@I'H#CCZD9KUKQCKZZ
M#I`AMR!=S@I$%_@'=OP[>]>9Z'817=T]S>DKI]J/,N']1V4>['C\ZRJ/[*%A
MJDFY5Y:)Z&[X1T@QSVURZ_Z7=9^S*1_JXQ]Z4C]%]S7:^+=8&A>'W,+;9Y!Y
M,`[@XZ_@.?RJOX.MI9X)M;NE"S7F!$@Z10KPJCT'_P!:N&\8ZJ^N^(_(MR7B
MA;R(57G<Q/)'U/'X"CX8Z&"3KU_>V6YH^!_"4>IC^T[]-ULK8BB/20CJ3[#T
M[_SW/'?B+^RK)-,LFV7$R_,R<>6G3CT)_H:Z9!;:'HB@G;;VD/)]E'\Z\4U"
M]N-:U>6Y8,\UQ)A4')]%4?H*4O<C9;CHIXBJYR^%&_\`#W2Y+SQ`+P96&T!9
MCZL00!_,_A71?$;6OLUA'I<+XEN/FEP>B`]/Q/\`(UM^'M+B\->'0L[*KJIF
MN'[9QD_@`,?A7F3O+XJ\3R3RDI"[;Y&)P(H5[YY`P/U^M#]V-NK'%JM7=1_#
M$L>&=,_>0W\L8=Y)/*LHF'$DG=S_`+*]3[\5Z'XEUJ'PCX2N;]VWO#'MC#=9
M)#TS]2<G\:Q/!WE:OKU[J4:E;.R46UG'V08Y_'&"?]ZO//C-XE.I^((M#MF+
M06/,@7^*5A_0''U)JX*R*5-XG$J#V6K/.]4D>;5KR61BSO.[,QZDECDTRV_U
M%W_UR'_H:UN>+-(M=%EM[=I6?592\]W&&!6%6.8TZ9W;>3]16';_`.HN_P#K
MD/\`T-:?0^DIR4J:<=BO5B]_UZ_]<HO_`$!:KU8O?]>O_7*+_P!`6CJ:]0LO
M]>W_`%RE_P#0&JO5BR_U[?\`7*7_`-`:J]'474L7/^HM/^N1_P#0VHL/^0C:
M_P#75/YBBX_U%I_UR/\`Z&U+IX+:E:@`D^:IX^M'07V66=%T[[==AG'[F/E_
M?VKL^G2JUA9I8VB0+R1RS>I[FK-<TY<S."K4YY!1114F91UB[^QZ;(ZG#M\B
M_4__`%LUQ%=%XANA*DD"](9(\_4AO_K5SM=%-61WX>-HEB]_UZ_]<HO_`$!:
M+;_47?\`UR'_`*&M%[_KU_ZY1?\`H"T6W^HN_P#KD/\`T-:OH:?917JQ<_ZB
MT_ZY'_T-JKU8N?\`46G_`%R/_H;4,;W067^O;_KE+_Z`U5ZL67^O;_KE+_Z`
MU5Z.H=2P_P#R#H?^NLG\DJO5A_\`D'0_]=9/Y)5>A!'8V/%G_(Y:Y_V$)_\`
MT8U8];'BS_D<M<_["$__`*,:L>J>Y%#^%'T058N?]1:?]<C_`.AM5>K%S_J+
M3_KD?_0VJ66]T%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L/\`\@Z'_KK)
M_)*KU8?_`)!T/_763^257H01V+%__P`A&Z_ZZO\`S-"?\@Z;_KK'_)Z+_P#Y
M"-U_UU?^9H3_`)!TW_76/^3T=!?917JQ>_Z]?^N47_H"U7JQ>_Z]?^N47_H"
MT=2NH6_^HN_^N0_]#6K>@2^7JT8/1P5_K_2JEM_J+O\`ZY#_`-#6HX)3!/'*
MO5&##\*35TR9*Z:-KQ1$1<P3<X9"OY'/]:R;+_7M_P!<I?\`T!JZC6H1>Z1Y
ML?S;`)5QW'?]*Y>R_P!>W_7*7_T!JF#]TRI2O3MV*]6'_P"0=#_UUD_DE5ZL
M/_R#H?\`KK)_)*LV?0+#_D(VO_75/YBJ]6+#_D(VO_75/YBJ]'4.I83_`)!T
MW_76/^3U7JPG_(.F_P"NL?\`)ZKT(%U/:M#^*`DTF71;F_ATS48&,4%[/"98
MG4'`W8(VMCC)R._M7(2^#[Z_EO[ZZ\4>'KAYQ^\N3J(QN+J>>./R]*XR_P#^
M0C=?]=7_`)FBV_U%W_UR'_H:T7T.&."5-N5)VOY'I_A_1O`?A25-1UKQ#::I
M=1D-'#;`R1J?HN=Q]S@>U=%JWQ)GU*V,>DPO:P2*")G(\Q@1G@#A?U/TKQG1
M]+-_/OD!$"'YC_>/I78@```#`'0"LZD[:(YJV%@Y\U23D_,5W^\[M[EB?UIO
M@;QE9:5X\^U7SF.QD@:U63'"996W'V)7'XUBZGJBO-)8PD$>5)YC?\`)Q7+4
M4HVU9U1PT:D'&?4]>^(9TS7_`!)#J-_XAL1H=M`/*BM9Q+-*2?FV(.A)&-QX
M&WVKAKOQ)+JGB?3;B&%;:SLI8ULK13E8D5@0/<GJ3WK"N?\`46G_`%R/_H;4
M6'_(1M?^NJ?S%:-Z#HX2-.%F[VT1[#XXU[3?'OA?3UTW7K"QVR>9<6U[,8V!
MQ@#`!S@YZ<&N$U'5+'1_#K:/H$[SBY=EO;]E*&7`4[$'54Y&<\G'I7(U8?\`
MY!T/_763^24V*C@HTDHWNKWL0QQM+(L:#+,<`5W\4*0J508!8L?<DY-<[X;L
M=\K7CCA/E3Z]S735A5E=V'B)WERKH%=QX5\=+IULFGZFKM`@Q',HR4'H1W%<
M/16<9.+NCBJT8U8\LCIM2T+3;B[>?2=9L!;2'<(YY/+9,]N1TJHNF:79'S-0
MU2.?'(@L<N6^KD`#]:Q**=UV$J<DK<QH:GJ[WR)$D:6UE!GRK=#\J^I)[GW-
M:/P[^(-AI]R^F:E,MM:W.98)W.%5MQ4AB>F0H/IUKAO$-[]GLO(0_O)N#[+W
M_P`*YJX_U%I_UR/_`*&U:4T_B.A8.%6ERRZGH_B7P1JMUXTU/4C+9QZ7<-)(
M+V6Y14560]><\9].U9-UXQ'AK3TT/PA=LL*DM=ZB8P'NI#_=!!VJ.W?^9XZR
M_P!>W_7*7_T!JKUMU-X87:-1W2Z6_,V]-MUUJ_L(=0OU@CN+MS<75Q+C"X0L
M2S=\`XSU.*][U;QOX=T3PV(-'U*QFF14M[:"WF5RN<*#@'H!S^%?.+_\@Z'_
M`*ZR?R2BP_Y"-K_UU3^8I7T,\3@HUVG)Z+H3:9?_`&+7+/49M\IAN4G?G+-A
M@QZ]SBOH/Q8Z>*M&L9-)U"SDM<^9)OF"]1\I.>F`3Q[U\W5V.@7(N--5"?GB
M.P_3M_GVJ9NR%C<-SN-2+LXBW]Y8^$;&YTG1[@76J7*[+S4%&%CC_P">47<Y
M[MW[>W??"/Q%IEH-6T>ZN8X+I[YYHA(P7S`0!@$]2-O3WKR[Q)9%95O$'RM\
MKX['L?\`/I61?_\`(1NO^NK_`,S3C*]F$\)"O2Y6]7U/2-<TB&R\4ZUKWBBZ
MMYK=Y&>"R@F#RW*AUV`X^ZF`H)-8_AOQ[):?$%=?U09@E4P.D8XAB.-H4>BX
M''U[FN/MO]1=_P#7(?\`H:U7JC2&#BX.,W?2WR/5?B##IGB3Q-'JDGBG3DTM
M8$`17+S(,9(6,#DG.><=?:N/U+7HM0,.FZ;`]KH]I%+Y,+'+.Q1LR2$<%C^0
M'`K"O?\`7K_URB_]`6BR_P!>W_7*7_T!J3=T.CA53@DW>VQZS\(&\/:'87&K
M:GJ^G0W]R3'''+<(KQQ@]P3D%B/R"UA?%OQ2FOZ];VUE<+-IUM&3&T;961R2
M&;(X/3`_'UKSNK%Q_J+3_KD?_0VIW)C@DL1[>3N_R/7/@KXDTVRLK[2+NYCM
M[B2?SHO-8*),J%(!/<;>GO7-7OA);77;C4/%.K6CI+,TOD64OF3W3$YPJ_P@
MYZD\?K7$6'_(1M?^NJ?S%='H>D_95%S.O[YA\H_N#_&IE/E1G4P_LZLJD96Y
MCUSP?XT@C+V6H+%9P$C[,J?ZN%0`!'GT``Y[\]*S/$GAW4+[7KJ\LEBN+6=@
MZRK,@7&!UR:Y"BL'.ZLSB6&4*CG!VN;WF6GAR)FAN([K5&!'FQG,=L.Y!_B;
MWZ"L?P+/I.I>*9=1UF_MK>SL)$DA%S*J"23Y]I^;KSEOP%<SK^J!5-E"W)_U
MK#L/2L)/^0=-_P!=8_Y/6D%U.V&$<J;N]7U/9/BUXZL;C0HM'T;4(+G[4<W$
MEO('"H/X<@]2<?@#ZUR?PTU>WT?Q]#)=$K%/9K"9.R$HA!/H/EQGWKS_`*]*
M[?3;);:)967$SQH&SVPH&/TJISY=0^J4Z%!T>YZ3XNTR35=<-\VI6*6&Q521
MI@=JCJ`!R3DD\>M<SJFHP-;QZ;IP9+"([BS<-._=V_H.PK*HK!RN<E.ARI)N
M]CUK1=8AO_!8MK&XB2_BM/)$;.%(<+@'\>N:X:(0^&5,S2PW&KD8C1"'2V_V
MF/0MZ#M7/44W.Y$,*HMZZ,]1US55\3>$0FES1&>1D\Z!I51E`Y(Y([@?6N2L
M)[+PW=0RF2*ZO]XWM&=R0)GYL'^)R,CC@5S=%#G=W'#"J$7"^AZYXOFGU3P_
M%%I4D<D-PX\V;S%"J@YY)/'.*\VUO5[/1-%EL;"3S5.#<W(X\]NR+_L@_GUK
M,KD-=U'[9=>5&<PQ'`_VCW-6GSLTPF"L^6]UN>T_"'7+*;PI<6[7$2WZW#R2
MH[!2V[[IY[8&/PKSEH[?PK>7&LZS-:WWB*20RP643B1()&.3)*1QD$Y"@GG'
MU'')_P`@Z;_KK'_)ZKUM<ZX8!1J3DI:2_K<N:K/+<ZQ>332-)*\[EF8Y).34
M=O\`ZB[_`.N0_P#0UHO_`/D(W7_75_YFBW_U%W_UR'_H:TNAW)6BDBO5B]_U
MZ_\`7*+_`-`6J]6+W_7K_P!<HO\`T!:.I74++_7M_P!<I?\`T!JKU8LO]>W_
M`%RE_P#0&JO1U%U+%Q_J+3_KD?\`T-JZ#P]IWE1?;)5^=QA!Z+Z_C5"PTXW\
MEGN!\E(B7/K\[<5U@````P!65271'+6J67*@HHHK$Y0IDTJP0/*_W44L?PI]
M8WB2Y\JQ6`'YI6Y^@_R*<5=V*A'FDD<\\K36EU*_WGG1C^(>JE6$_P"0=-_U
MUC_D]5ZZD>DE8L7O^O7_`*Y1?^@+1;?ZB[_ZY#_T-:+W_7K_`-<HO_0%HMO]
M1=_]<A_Z&M'07V45ZL7/^HM/^N1_]#:J]6+G_46G_7(_^AM0QO=!9?Z]O^N4
MO_H#57JQ9?Z]O^N4O_H#57HZAU+#_P#(.A_ZZR?R2J]6'_Y!T/\`UUD_DE5Z
M$$=C8\6?\CEKG_80G_\`1C5CUL>+/^1RUS_L(3_^C&K'JGN10_A1]$%6+G_4
M6G_7(_\`H;57JQ<_ZBT_ZY'_`-#:I9;W06'_`"$;7_KJG\Q5>K%A_P`A&U_Z
MZI_,57HZAU+#_P#(.A_ZZR?R2J]6'_Y!T/\`UUD_DE5Z$$=BQ?\`_(1NO^NK
M_P`S0G_(.F_ZZQ_R>B__`.0C=?\`75_YFA/^0=-_UUC_`)/1T%]E%>K%[_KU
M_P"N47_H"U7JQ>_Z]?\`KE%_Z`M'4KJ%M_J+O_KD/_0UJO5BV_U%W_UR'_H:
MU7H0+=G7Z'<))I\-NQRXC+8/==S#^E8US8&PU21`/W312M&?;8W'X576YDLV
ML9XS\RQ'CU&]N*ZE6M]7L-Z_Q*P![H2"#_.LG[KOT.1WIR;Z,XBK#_\`(.A_
MZZR?R2EO;&>QF,<RX'\+#HP]J1_^0=#_`-=9/Y)6M[G3=.S06'_(1M?^NJ?S
M%5ZL6'_(1M?^NJ?S%5Z.H^I83_D'3?\`76/^3U7JPG_(.F_ZZQ_R>H`"Q``)
M)X`%`+J3W_\`R$;K_KJ_\S5W1]/>]\\$,L+(%+X[[E.!^1J_%H#7%_//=';$
MTK%4!Y89/Y"MS]S:6_\`#%"@^@%92GI9'-4K:<L18(([>%8HE"HHP`*Q]:UG
M[-NM;<_O2/F?^Z#Z>]4]3U]Y\PVA*1]"_0M]/2LJ]_UZ_P#7*+_T!:(0UNQ4
MZ+O>86?^O<_],I?_`$!JKU8LO]>W_7*7_P!`:J]:]3J6Y8N?]1:?]<C_`.AM
M18?\A&U_ZZI_,47/^HM/^N1_]#:BP_Y"-K_UU3^8HZ"^RRO5M(GGM+:*,9=Y
MW`_)*J5T_ARV#6HG<<I(X3\0N3^E*3LKDU9<L;FQ:VZ6MM'`GW4&/K[U-117
M*><W?4****`"D+!5+,<`#)-+65KMR$L)H%;$C)NX_N[E'ZYII7=AQCS-(YK4
M;PWU])-_#G"#T`Z4RY_U%I_UR/\`Z&U5ZL7/^HM/^N1_]#:NJUK'I6M9(++_
M`%[?]<I?_0&JO5BR_P!>W_7*7_T!JKT=1]2P_P#R#H?^NLG\DHL/^0C:_P#7
M5/YBA_\`D'0_]=9/Y)18?\A&U_ZZI_,4=!?997K7T6]%BLDC?<:6-']@0_-9
M%6$_Y!TW_76/^3TI*ZL$X\T;,[F2.*Y@:-P'C=>?<5R&LV$]K>22LN8I7+*X
MZ<G.*L:/K1M<6]R28?X6ZE/_`*U=2ZI-&4<*Z'@@\@UCK!G(G*C+78X2W_U%
MW_UR'_H:U7KK)_#\6V?[,YC,B;=K<@?,#_2L270M0B/^IWCU1@?_`*]:J:9T
M0JQ?4K7O^O7_`*Y1?^@+19?Z]O\`KE+_`.@-4]Y971G7%M,?W48X0]D`-.L;
M"[,[?Z-*!Y<@RR$#)0@=?K3NK%<RY=S.JU+&\L=DB*69HB``.3\[5HVWANYD
M(-PZQ+W`Y/\`A70VEC!9QHL:Y*KM#MRV,D]?J34RJ);&<Z\5MJ9ND:&+;;<7
M(#3=57LG_P!>MNBH;F[@M(]\\BH.V>I^@K!MR9QRE*;NR:L36-;6W#6]LP,Q
MX9QT3_Z]5-3UN2>U4VI:.-W9"?XB`%_+K6!6L*?5G12H=9%B_P#^0C=?]=7_
M`)FA/^0=-_UUC_D]%_\`\A&Z_P"NK_S-6=.LWOH9($[S1ECZ##Y-:7LCH;2C
M=EOP_IOGR_:Y5_=H?D!'5O7\*ZFF0PI!"D48PB#`%/KGE+F=S@J3<Y7"BBBI
M("BBB@`HHJ"\NH[.U>>3HHX'J?2C<$KNR*VH:B+:XMK9"#++(H/LN>?SKBJN
MPW$EUK,$TARSS*?IR.*I5TPCRGH4H<FA83_D'3?]=8_Y/5>K"?\`(.F_ZZQ_
MR>J]4C5=2Q?_`/(1NO\`KJ_\S1;?ZB[_`.N0_P#0UHO_`/D(W7_75_YFBV_U
M%W_UR'_H:T="?LHKU8O?]>O_`%RB_P#0%JO5B]_UZ_\`7*+_`-`6CJ5U"R_U
M[?\`7*7_`-`:HH8GGF2*-<NYP!4ME_KV_P"N4O\`Z`U=!X?TWR8_M<J_O'&$
M![+Z_C4RERF=2?)=FK8VHL[..`'.P<GU/4_SJQ117-<\YN[N%%%%`!7':_<_
M:-390<K$-@^O?]?Y5UEQ,MO;R3-T12U</?\`_(1NO^NK_P`S6M):G3AH^]<$
M_P"0=-_UUC_D]5ZL)_R#IO\`KK'_`">J];([%U+%[_KU_P"N47_H"T6W^HN_
M^N0_]#6B]_UZ_P#7*+_T!:+;_47?_7(?^AK1T)^RBO5BY_U%I_UR/_H;57JQ
M<_ZBT_ZY'_T-J&-[H++_`%[?]<I?_0&JO5BR_P!>W_7*7_T!JKT=0ZEA_P#D
M'0_]=9/Y)5>K#_\`(.A_ZZR?R2J]"".QL>+/^1RUS_L(3_\`HQJQZV/%G_(Y
M:Y_V$)__`$8U8]4]R*'\*/H@JQ<_ZBT_ZY'_`-#:J]6+G_46G_7(_P#H;5++
M>Z"P_P"0C:_]=4_F*KU8L/\`D(VO_75/YBJ]'4.I8?\`Y!T/_763^257JP__
M`"#H?^NLG\DJO0@CL6+_`/Y"-U_UU?\`F:$_Y!TW_76/^3T7_P#R$;K_`*ZO
M_,T)_P`@Z;_KK'_)Z.@OLHKU8O?]>O\`URB_]`6J]6+W_7K_`-<HO_0%HZE=
M0MO]1=_]<A_Z&M5ZL6W^HN_^N0_]#6J]"!;LL7'^HM/^N1_]#:I])NY;6[+(
MQV^6[,F>&PI(_E4%S_J+3_KD?_0VHLO]>W_7*7_T!J5M"&DXNYU5MJ%CJT/E
M2!=QZQ2=?PJO=>'8Y(5CMI3&%9FP_/4`=?PKE:U(M5O+:QA9)B<R."'^;(`7
M'7ZFHY&OA9BZ4HOW&6;?0+V"\@D;RF5)%8[6[`_2H5\.7[=?*7ZO5BT\0W<M
MU#$\<)5W"D@$'DX]:B;Q->$G;%"H^A)_G1[]Q_OKERW\.8MWBN)_O,K'RQTP
M".I^M:$=KI^E)NQ'&?[[GYC^=<_)J]]/8S.9BI$B*-@VX!#9_D*RW=I&+.Q9
MCW)R:.23W8O93E\3.HO_`!%';R/#!&7D4E2S<`$?SK%:]N+V.[>>0M^Z&!V'
MSKT%5[__`)"-U_UU?^9HM_\`47?_`%R'_H:U2BDC2-.,5=%>K%[_`*]?^N47
M_H"U7JQ>_P"O7_KE%_Z`M5U->H67^O;_`*Y2_P#H#57JQ9?Z]O\`KE+_`.@-
M5>CJ+J6+C_46G_7(_P#H;4NGJ6U.U5023,@`'?D4ES_J+3_KD?\`T-J]E\!Z
M!IW@_P`(CQ?JL:RWEPBM;J1G8KD!`/=LC)[`_7(MCEQ.)5"G>UV]$CA],^%?
MB?4+87,T$&GP$`[KV38<>Z@$C\0*ZI?#.FZ?;)"?$-A^[7&(PSC\P*Y_^W]6
M\4WDNJ:I.QCW8M[=21'&.Y"^O;/7K4U95)J]CCFZ\W[\K>2)KJ&*";9#=1W*
M8SOC5@/IA@#4-:^@^'+WQ!<%+==D*G]Y,P^5?\3[5Z&-+\/^"M/^V3H)9QPL
MD@#.[>BCM_G)J(P;UZ'-5Q,:;Y%K(\XM/#NL7HW6^G7#*>C,NT'\3@5+=>%M
M<LX&FFTZ41J,DJ0V!]`35C6O&&J:Q*P$S6UMGY88FQQ[GJ?Y>U6?`$]ROBB*
M*-V\F1'\Y<\$!3@_GBA*+=D$IUHP<Y6TZ'*.ZQQL[D!5!))["N-GNVO9;^<Y
M`,0"@]AO7%=+X^NUM]8O[&'"[KJ3(7C"AS@?Y]*Y&W_U%W_UR'_H:UI"-M3U
M,-&\%/N5ZL7/^HM/^N1_]#:J]6+G_46G_7(_^AM6C.M[H++_`%[?]<I?_0&J
MO5BR_P!>W_7*7_T!JKT=0ZEA_P#D'0_]=9/Y)18?\A&U_P"NJ?S%#_\`(.A_
MZZR?R2BP_P"0C:_]=4_F*.@OLLKU83_D'3?]=8_Y/5>K"?\`(.F_ZZQ_R>AC
M>Q7K2?4;JQU.Z\F0A?.?*'E3R>U9M6+_`/Y"-U_UU?\`F:&KL))-V9T5GXBC
MF20SQ&,QKN)4Y&,@?UJ['K&GRC(ND'^]\O\`.N0MO]1=_P#7(?\`H:U7K/V:
M9@\/%WL=^+NV)P+B+.`<;QT/2D^VVNXK]IAW`$D;QG`&37$WO^O7_KE%_P"@
M+19?Z]O^N4O_`*`U+V6A/U=6O<["36-/C&3=(?\`=^;^55;GQ#:P*A1))-Z[
MEP,#&2._N#7(U8N?]1:?]<C_`.AM3]DBEAXJQKIX@NKF]@B14BC:100.21GU
MK"DD>5R\CL['J6.34UA_R$;7_KJG\Q5>K44GH:QA&+T18?\`Y!T/_763^257
MJP__`"#H?^NLG\DJO314=BS?#.HW(`Y\YOYFNJT;3_L%G\X_?289_;T%9^FZ
M=Y^L75U(O[N.9]H/=L_TKHJQG+2QR5JETHH****R.8****`"BBB@`)P,GI7)
MZY?"]2(QG]TLCJ.?O8"\_J:O>(=2\J/['$WSN/WA]!Z?C6`__(.A_P"NLG\D
MK:G'J=5"G:TF%A_R$;7_`*ZI_,57JQ8?\A&U_P"NJ?S%5ZUZG5U+"?\`(.F_
MZZQ_R>J]6$_Y!TW_`%UC_D]5Z$-=2Q?_`/(1NO\`KJ_\S1;?ZB[_`.N0_P#0
MUHO_`/D(W7_75_YFBV_U%W_UR'_H:T="?LHKU8O?]>O_`%RC_P#0%JO5V6"2
MYOHH8AEVBB`_[X6A[C;LRSH-DUS>F1ES"BD/GOD$8_6NJFE$**%`WL=J+ZG_
M`#S^%,L[6.QM%A3HHRS'N>YJM92&_NY+SGR4S'"/7U:N>3YG<X:DN=M]#05=
MJ@9S[^M+114&(4444`8WB2Y\K3UA!^:5L?@.3_2N;O\`_D(W7_75_P"9J_XB
MN/.U+RP?EB4+^)Y/]/RJA?\`_(1NO^NK_P`S71!61WT8\L4"?\@Z;_KK'_)Z
MKU83_D'3?]=8_P"3U7JT;+J6+W_7K_URB_\`0%HMO]1=_P#7(?\`H:T7O^O7
M_KE%_P"@+1;?ZB[_`.N0_P#0UHZ$_917JQ<_ZBT_ZY'_`-#:J]6+G_46G_7(
M_P#H;4,;W067^O;_`*Y2_P#H#57JQ9?Z]O\`KE+_`.@-5>CJ'4L/_P`@Z'_K
MK)_)*KU8?_D'0_\`763^257H01V-CQ9_R.6N?]A"?_T8U8];'BS_`)'+7/\`
ML(3_`/HQJQZI[D4/X4?1!5BY_P!1:?\`7(_^AM5>K%S_`*BT_P"N1_\`0VJ6
M6]T%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L/_P`@Z'_KK)_)*KU8?_D'
M0_\`763^257H01V+%_\`\A&Z_P"NK_S-"?\`(.F_ZZQ_R>B__P"0C=?]=7_F
M:$_Y!TW_`%UC_D]'07V45ZL7O^O7_KE%_P"@+5>K%[_KU_ZY1?\`H"T=2NH6
MW^HN_P#KD/\`T-:KU8MO]1=_]<A_Z&M5Z$"W98N?]1:?]<C_`.AM19?Z]O\`
MKE+_`.@-1<_ZBT_ZY'_T-J++_7M_URE_]`:CH3]EE>K#_P#(.A_ZZR?R2J]6
M'_Y!T/\`UUD_DE`WT"P_Y"-K_P!=4_F*KU8L/^0C:_\`75/YBJ]'4.I83_D'
M3?\`76/^3U7JPG_(.F_ZZQ_R>J]"&NI8O_\`D(W7_75_YFBV_P!1=_\`7(?^
MAK1?_P#(1NO^NK_S-%M_J+O_`*Y#_P!#6CH3]E%>K%[_`*]?^N47_H"U7JQ>
M_P"O7_KE%_Z`M'4KJ%E_KV_ZY2_^@-5>K%E_KV_ZY2_^@-5>CJ+J6+C_`%%I
M_P!<C_Z&U>Y_$UFD\(^'$M>8'NX6^7H0(V(_#&3^%>&7/^HM/^N1_P#0VKUW
MP3K,>O>"E\.ZQ*L,D?%C</TP/N@^F.1[CWZIO0\S'P:Y*JVBSFX84MX$BC&$
M08%;WAKP]/XAU#RE)2WCP9I?0>@]S52?1;^VU-=.EMW6Y=PB+CAL]"#W'O7L
MN@:-#H6DQ6D>"X&Z5P/OMW/^>U8PAS/4X<7BE"'NO5CF.G^&]%+!5@M+=.@Z
MG_$D_F37CFNZW<Z[J3W4Y(7I''GA%]/\370?$#7S?ZC_`&;`_P#H]JWSX_BD
M[_ET^N:YBQTJ_P!2;;9VLLN.K`?*/J3P*=25WRHSP=%0C[6>[*==SH36_@WP
MU=>(]3`$TR;;>(_>9>OZG!^@'K61!;Z3H3^=?RQZC>+]VU@.8U/^V_0_05P_
MCGQ/>:W?".XEW;>2J\*@[*!1!6?F=7LY8F2@OAZLP-<O)=1U>>]FYEN-LK_5
ME!/ZFJ]M_J+O_KD/_0UHO?\`7K_URB_]`6BW_P!1=_\`7(?^AK6O0]F*2@DB
MO5BY_P!1:?\`7(_^AM5>K%S_`*BT_P"N1_\`0VILI[H++_7M_P!<I?\`T!JK
MU8LO]>W_`%RE_P#0&JO1U#J:5AIUSJQL+"SCWW%Q<NB+[D)U]JZ^_P#ACJ'A
MFP35=6U"T3;/&D<,.YVD8L.,D#'<]^!77_!SPB\%FOB"^BVLV_[(K#G:VT%_
MQVX'L3ZU@_%3Q-_:OC2STBWDS:Z?*H?'1I21G\AQ]<T6T/)>+J5<3[&D]%N>
M6U83_D'3?]=8_P"3U7JPG_(.F_ZZQ_R>AGK/8KU8O_\`D(W7_75_YFJ]6+__
M`)"-U_UU?^9HZCZA;?ZB[_ZY#_T-:KU8MO\`47?_`%R'_H:U7H0+J6+W_7K_
M`-<HO_0%HLO]>W_7*7_T!J+W_7K_`-<HO_0%HLO]>W_7*7_T!J.A/V2O5BY_
MU%I_UR/_`*&U5ZL7/^HM/^N1_P#0VH&^@6'_`"$;7_KJG\Q2V%C<:GJ%O8VJ
M;Y[B01HON3C\J2P_Y"-K_P!=4_F*]7^"?A?SKJ?Q'<Q_)#F&UW#JQ^\P^@XR
M/5O2FMSFQ>(5"G*;,K7/A3=:!X7GU#4-7M56VW2;41CO9@H503CJ0!^->=6U
MN]U<QP1CYG./I[U[E\6[#Q!X@:STW2K)I;.$F25A(B[GQQU(Z`G\ZX?P+I<&
ME^(89=:C5`DYCD5\$)C(Y[8W`?@*4FD<F%Q4_J[J5'=]B58A$N%7:"2W3KDY
M)I:]$^(>J:9>:7:P6MS!/.)@_P"Z8-M3:<\CIU'%>=US25G8QH575CS-6"BB
MBI-@HHHH`*KWETMK;L^1OVL44]R%)_I4SNL4;.[!549)/85R,]^VH:E))TC6
M*4(OH-C54(W-*5/F=S,DD>61I)&+.QR2>YJ9_P#D'0_]=9/Y)5>K#_\`(.A_
MZZR?R2ND]!]`L/\`D(VO_75/YBJ]6+#_`)"-K_UU3^8JO1U#J6$_Y!TW_76/
M^3U7JPG_`"#IO^NL?\GJO0AKJ6+_`/Y"-U_UU?\`F:+;_47?_7(?^AK1?_\`
M(1NO^NK_`,S1;?ZB[_ZY#_T-:.A/V45Z[/2K!856Y<?O9(D'(^Z`H&/S%8N@
MZ9]JF^TRK^YC/R@_Q-_]:NBU"]2PM&F;!;HB^IK*I*[LCGKSN^2)5U"[\RX&
MFQ8,DJ.&/I\IP*T+>!+:WCA0?*BX%87AZW>>>;4)LLQ)"D^O<_TKH:SEIH85
M%R^Z@HHHJ3,*1V"(SL<*HR:6LW7;CR-*D`.&DP@_'K^F::5W8<5=I'(3RM//
M)*W5V+'\:DO_`/D(W7_75_YFJ]6+_P#Y"-U_UU?^9KJZGIVLT"?\@Z;_`*ZQ
M_P`GJO5A/^0=-_UUC_D]5Z$-=2Q>_P"O7_KE%_Z`M%M_J+O_`*Y#_P!#6B]_
MUZ_]<HO_`$!:+;_47?\`UR'_`*&M'0G[**]6+G_46G_7(_\`H;57JQ<_ZBT_
MZY'_`-#:AC>Z"R_U[?\`7*7_`-`:J]6++_7M_P!<I?\`T!JKT=0ZEA_^0=#_
M`-=9/Y)5>K#_`/(.A_ZZR?R2J]"".QL>+/\`D<M<_P"PA/\`^C&K'K8\6?\`
M(Y:Y_P!A"?\`]&-6/5/<BA_"CZ(*L7/^HM/^N1_]#:J]6+G_`%%I_P!<C_Z&
MU2RWN@L/^0C:_P#75/YBJ]6+#_D(VO\`UU3^8JO1U#J6'_Y!T/\`UUD_DE5Z
ML/\`\@Z'_KK)_)*KT(([%B__`.0C=?\`75_YFA/^0=-_UUC_`)/1?_\`(1NO
M^NK_`,S0G_(.F_ZZQ_R>CH+[**]6+W_7K_URB_\`0%JO5B]_UZ_]<HO_`$!:
M.I74+;_47?\`UR'_`*&M5ZL6W^HN_P#KD/\`T-:KT(%NRQ<_ZBT_ZY'_`-#:
MBR_U[?\`7*7_`-`:BY_U%I_UR/\`Z&U%E_KV_P"N4O\`Z`U'0G[+*]6'_P"0
M=#_UUD_DE5ZL/_R#H?\`KK)_)*!OH%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>
MCJ'4L)_R#IO^NL?\GJO5A/\`D'3?]=8_Y/5>A#74L7__`"$;K_KJ_P#,T6W^
MHN_^N0_]#6B__P"0C=?]=7_F:+;_`%%W_P!<A_Z&M'0G[**]6+W_`%Z_]<HO
M_0%JO5B]_P!>O_7*+_T!:.I74++_`%[?]<I?_0&JO5BR_P!>W_7*7_T!JKT=
M1=2_':M>26$"_P`49R?0;WR:[2.-8HEC0851@#VK+T*U"64-PP_>&,H,CH-S
M']<BM:N><KNQPUI\SL>B_#@WMV9WN)WDM+<!8DDPP#GN">1@>GK78:_JRZ+H
MT]Z5#,@`1"?O,>`*R/A[;K%X5BD`YFE=S^!V_P#LM8GQ.OLM8Z>K#',SC]%_
M]FK9/EA<^=E%5L5R]+G,_P#"0LTW^C:/IRRNW#&$R.6/NQ.35_4;/6I8$_MS
M6(+-77*VTDA!QV_=H,8I_P`/K6!]6N;V=0PM("Z@CH3W_('\ZYF_OIM1OYKR
MX8M)*Q8\]/0?0=*ROI=GH*"=1PBK6Z]2/7K:30].%ZTD-Q;R96*:%LJS_P!T
M]"#[$5YTJSWER%17FGE;A57+,3Z`5W5U<_VAX$U"-8S*KZI!!9@#):4*Q8CZ
M@@5ZMX!\!67A'3%NKI(Y-5D3,\YY$8Z[5]`.Y[X^@&L(V5SI>,CA:;YM97LC
MR$_#/Q1=1BZDLH[2`0Q_/=3+'T0`\9R.1WQ6'J7A_4_#YN(M2MC%YL&Z*16#
MI(OF)RK#(/;\Q6[\2O&,_B77G@@G8:5;X\B,'"OD9WD=R<\>@_&K\J$_`>!Y
M^HU`BW/HI;D?3(-5T-HUJ\8PE4M[S2MV.3\(Z%%XD\36FE370MHYRV9.IX4G
M`]SC%2>,-%7P]KS:4LYG6W7:LA7:6!9CT_'%=)X:TF\T6UMQ9Q!O%&LILLD)
M_P"/.W/WIF_NDC./0?B*]%\6>#M,@^&TJ:I/)=76G6K/%?2G,N_J!D]B<#:3
MZ?6G8SJX[DQ"UO%Z6_4^?[+_`%[?]<I?_0&KJ_A]X177]26\OD)TV"54*=[B
M4\B,?S8]@/QK%\,:1-K>MI90L$5HY#+*WW8DVD%V]AFO<_A[:6]X/M]E&T>C
M6(:UTU6ZRG/[R=O4L>!Z#/K0MR\QQ3I0<8[G6:Y=SZ7H,S:=;&:\V>7:P(OW
MG(PHQV`ZGV!KP%?AWXE^U&^;[->2Q3+)<QP7*R2H2<DL!WZ],UV'Q:\>3P$Z
M#I%P8_F*7<T9PV0`=@/T89Q]/6HO@AX?O(I[S79E>.VDB^SP@\"3Y@2WT&T#
M/N:;U/-PRJ87#NOHK_>SQL@J2"""."#VK>T/PQK?B&QG72].FN,2I\PPJ<!L
M_,V!W'>O0H_A_!XF^*NMNZ;-&M9PTP0X\R1E#%`1TY))_P#KYKL?B#XDB\#^
M%$MM*BCAN9AY%LL:@"$8Y;'MV]_QI6.^KF3DXTZ*O)V^1XY??#3Q+8QN3;03
MR1KO>&WG5Y%7UV9R?PS7,7__`"$;K_KJ_P#,UT/@*:[N/B+I$PE>2X>YW.[L
M2S#!W9)Z\9JQ?Z"NN?$?6;6V=8+&&[FEN;AN%@C5CO;^>/PHL=,:TZ=1PJN]
ME>Y,/!D,7PP?Q0E^9)Y"$:W5<JH\P#&>N>,UQ%?0/@73[C6;W^U(O-L_#5K$
M;33K+/$Z?Q22#OD^O7\.>"\=>$+7_A9,&A^'HE1[Q$9H1]R)B3G'H`HW8[=O
M2BQS87'?O)4ZC[OT\OD<4;*ZU#4(K:SMY;B=HH]L<2%F/R+V%=/!\-_$-E`U
MYJ4=IIT.QU!N[I$SE"/4_P"17N6A^'M'\$:')*`BM'"&NKMQ\SA%ZD]@,=*\
M"\2>*;OQCXGENW#B`1RQVMOUV+L;'`_B/?\`^L*+60J.-JXF35)6BNK(H/A]
MXGN[EX+333<!4602Q3(8W1L[65\X(.#T-5O$OAW4?#;6%MJ:1Q7#0%C$LBNR
MC>W7'U_0U]$^$=,'A#P):V]_,%^S0M-.['A"278?09/Y5X#X@OK[QQXLAG@B
M9Y[X[((O[J[V"@^F`,D].IH887&U*U5WMR1ZC?`OABY\4>)(((LI;P,LMQ-C
MA%!Z?4]!_P#6KZ'UB_T_P/X.EGBB6.VLX0D,0_B;HJ_B2,GZFL7X=:/:Z=8O
M#9$/;6KF-[@#_CZN,8D<?[*_<'_`O8UY_P#&GQ/]OUJ'0;=\P6/[R;'\4I'`
M_P"`J?\`QX^E,XJDI8_%*'V4<*BW.O74<DS-)-<74LDK=SG837JUM\.M;>",
MXMH5VC"NYRO'0X!JK\(O#`,4.JWL6=SL]JC#J!@%S[`@8]_I7H/CC6_[(T-H
MHFQ<W68X\'D#^)ORX^I%9N*>K+Q>+E[54:/0\BGB\BXDB\Q)-C%=Z'*MCN/:
MM33_``KK6IQB6WL7\H\B20A`1ZC/7\*ZKP-X2BEA35]0C#@G-O$PXQ_>([^W
MY^E'Q`\2.LIT:SD*@`&X93C.>B?U/_ZZRY$ES2)>)E*I[*GOU9R-_P"']0TZ
M`SRQH\`;:989`ZJ?0XZ?C6774>$5W6.O"3_CW^PL7'OSM/UZUFZ-I\$RRZA?
MDKI]MC?CK*W:-?<]_05+CM8VC5:YE+H+IOAS4-4B6:(111.VR-YW""1O1>Y/
MTJI?:7>Z;?\`V*Y@9;CC:@YW9Z8QUS7;>#[>X\0:X^LW:A;:T^2WB481#C@*
M/0#]2*J_%'Q5;Z'-$E@H;6VB,<<@Y,"GN!_>/Z9]ZT5--7,8XBI*M[-*_P"A
MQVN>"O$EUITAM8(7$*"2>W693,!V^7\"<=3BO.[+_7M_URE_]`:OI#X>>''\
M-^&/M.HG&H72^;<NYR5&2P4GU&XD^Y-?.[S1W&L7DT2[8I//=!Z`JQ%:*/*K
M'=@<1*HYPW2ZF?5A_P#D'0_]=9/Y)5>K#_\`(.A_ZZR?R2F>H^@6'_(1M?\`
MKJG\Q5>K%A_R$;7_`*ZI_,57HZAU+"?\@Z;_`*ZQ_P`GJO5A/^0=-_UUC_D]
M5Z$-=2Q?_P#(1NO^NK_S-6=)M&O99X`<;HQEO0;U/]*@NT:75;A$4L[3,`!W
MY-=;I>GKI]H$X,K<R-[^GTJ)2M$QJU.6'F68HXK6W6-`$CC7\A7*ZM/)J.J)
M#&<H0HB'3[P!R?SJ[XAU+`^Q0MSUD(_E4FCV6Z[^V..$BC5/KY:Y/^?6HBN5
M<S,8+D7/(V+6W2UMHX$^Z@Q]?>IJ**R.9N^H4444`%<[XH?(MD!XRV1[\?XU
MT5<;JT_VDF7M]HD`^@"`5=->\;8=7G<S*L7_`/R$;K_KJ_\`,U7JQ?\`_(1N
MO^NK_P`S71U._J"?\@Z;_KK'_)ZKU83_`)!TW_76/^3U7H0+J6+W_7K_`-<H
MO_0%HMO]1=_]<A_Z&M%[_KU_ZY1?^@+1;?ZB[_ZY#_T-:.A/V45ZL7/^HM/^
MN1_]#:J]6+G_`%%I_P!<C_Z&U#&]T%E_KV_ZY2_^@-5>K%E_KV_ZY2_^@-5>
MCJ'4L/\`\@Z'_KK)_)*KU8?_`)!T/_763^257H01V-CQ9_R.6N?]A"?_`-&-
M6/6QXL_Y'+7/^PA/_P"C&K'JGN10_A1]$%6+G_46G_7(_P#H;57JQ<_ZBT_Z
MY'_T-JEEO=!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+#_`/(.A_ZZR?R2
MJ]6'_P"0=#_UUD_DE5Z$$=BQ?_\`(1NO^NK_`,S0G_(.F_ZZQ_R>B_\`^0C=
M?]=7_F:$_P"0=-_UUC_D]'07V45ZL7O^O7_KE%_Z`M5ZL7O^O7_KE%_Z`M'4
MKJ%M_J+O_KD/_0UJO5BV_P!1=_\`7(?^AK5>A`MV6+G_`%%I_P!<C_Z&U%E_
MKV_ZY2_^@-1<_P"HM/\`KD?_`$-J++_7M_URE_\`0&HZ$_997JP__(.A_P"N
MLG\DJO5A_P#D'0_]=9/Y)0-]`L/^0C:_]=4_F*KU8L/^0C:_]=4_F*KT=0ZE
MA/\`D'3?]=8_Y/5>K"?\@Z;_`*ZQ_P`GJO0AKJ6+_P#Y"-U_UU?^9HMO]1=_
M]<A_Z&M%_P#\A&Z_ZZO_`#-%M_J+O_KD/_0UHZ$_917JQ>_Z]?\`KE%_Z`M5
MZL7O^O7_`*Y1?^@+1U*ZA9?Z]O\`KE+_`.@-3]-LC?7J18.SJY]!3++_`%[?
M]<I?_0&KJ-"L/LED)'&)9?F.>P["IG*QC5GR)FHJA%"J,`#``[4M%%<QP'K?
MP[NTG\,+`#\]O*RL/J=P_G^E<C\1BQ\4#=T$";?ID_US63X>\07'AZ_\^(;X
MG&)8B<!A_B*Z;Q!=:%XNBAN8-0CL[^)=I2Y!4,OH3TX.>F>M;<W-"QYBI.CB
M.=K1G,^'M9_L:^D>1&>WGB,4JKUP>X]Q7,Z@]Q<SPZ5IZ-+>W;;$5>H![^WU
M[<GM723Z1:V41GOM>TN&!?O,DIE;\%49)]JYK5O$UEI#7EGX=CE%S+F.XU2?
M`E89P4C`^XO'KDTH1;W/0I+FFW35V_N.O\)0Z?+XMTGP[:R+/:Z*QFDE'W9[
MDJ^YA[*=H'^[77_%G7&T;P1/'"Q6>^86RD=0I!+?^.@C\:\,\*:[)X:U.'5D
M4N(+B/>@/WD*N&'Y$_C7J?Q#@/Q"\/:9=^&9X;T0RL9(A,J,NY1U#$8(]#ZU
MNNIS8C#<F*@Y_#W\]SQB6"6ZU""W@0R32I"B(.K,44`?G7L.JV-EI%AING:G
M&6T#0K7?=D``75TQ#"-0>IR"3V^8@FN2C%CX#E.HW%Q;WOB$0K';6D3!X[5M
M@!DD8<%AV`_KD<UJ/B+5_$/VF;5;Z6Y981M#8"K\Z]%&`/P%+9'=4A/$RBXZ
M17]:?YGM'PLLI=4_M#QCJ'SW>H2M'#SD11*<;5]!D8^BBN;^,GBF6^OH/#&G
M[G0$/.(QDR29PJ#'7![>N/2M'X;>-=.M_`AT<W=M;:I:+*($NI1&DK,S,N&/
M'5L'OQ7%O>67A55U&2]M]5\1RHQA>%O,AMRSL3*6Z._)P!P#D^E4S@I49+%2
ME):K9?E\B];V"Z?]E\#:;M.LZCD:K=#D)E21$#Z*.6^GO@>LZ]J-EX`\"LUN
MH5;6$06L9_C?&%^OJ?H:XSX+^&Y!%=>*+X,T]R3';M(225SEWSGG)X]?E/K7
M+?&#Q3_;/B/^RK>3-GIQ*MCHTW\1_#[OUW4>8I4OK.*5%.Z6K?=_UH7/ASX%
M'BY?[9UHN]HES(^TGFY<[<DGTR#GU/XUZ;XF\9:/X0M8K&(Q&]8+';V<6/E!
MX!('W5'Z]JYOP!XFM9?AJNGZ=<6MOK%M#+'%#,X4-)R0PSU!+`GW/->>6>C0
M:1JJZIXLO(KB^:4-'I\5PLTLTA/#2,I(5<\]<GI2V03INO6E[5Z1V7<]K^'M
MO)%X-M+FXR;N]+W<[,N"SNQ;)_#`^@%>(?$;7&UWQ-JL@;,%M<);0CL`@<'\
MVW'\:]#^''Q-AU..;3M>NHH+TRLT#OA$=6/"#T()P!Z8KA+SP!J-O<W[:M>6
M>GV!N@_VR:=6#K\_*J#N).1QQ0]BL'#V&(G*MH^G_`+'PLT][:;4/$[6[3"Q
MB,-K&JY:6=Q@*OO@X/\`O5:N+1)=1M?!=E/G4=4O#/K-S&P]2WE`]]JY)'3=
M^.,75?'=Q:6B:)X6FEL='@3RPX`$UPW>1FQE2?08_H*7AC6X/#WQ#M]4N@Q@
MAN9!(5&2`P92??&[/X4=3KE0JS<JTNVB]-K_`)GT1K6J6'@OPI)=>6$MK.(1
MPPKW/15'XX_G7G/P>AN-;U_7/%&H9>X<B)9.<9;E@/H`@]@:F^(5[8^*OLXB
M\1Z9#H<4!DE=9P\ADWKG]V.20N`/=Z@^'_Q"T6SU630U1=/T?8JV;S8!9P3N
M:1O[SY'L-N*?4\RG1DL+)Q5Y/?R1/\:_%!MK*#P];28DN`);G!Z(#\J_B1G\
M/>N6^$/A676/$0U>9/\`0;`YR>CRXX7\`<G\/6I/&GA^2_\`&VH:MK&I6MII
M+R*4F$ZR/)&%`"QH"23QW`'>NX^%OBW2M0MKO2;9(K%+=_\`0[9F&YHL#YB?
MXF+9)^HH.ER='!<M)7;W?J5?C3XG^P:/#H-M)B>]^>?!Y6('I_P(C\@PKC-!
ML)=.T33H;8%/$.NK]GM3WM[8LQ:7V+`\'K@9%3>(;6./Q7J'B+Q@R;!,19:8
ML@:2X5>$!`)V)@#).,G/'/.9HOBW_BXFD>(=8D`0[Q(0/EC5O,0`#T4$?@*3
MW-*-%QP_)!7ZOS?8]RO;BQ\$>#D2(!8K:-8(%/5W/"_F3D_B:^=O#>D2^*/$
M$L]_*PM(V-UJ%P?[I.2/]YCP/<^U>O\`Q&M)O%":%)INHV!TR*8S3S/<J%'3
M:>O/&X<>M<!#J-DL/]B:&6.F6IWS7++M:\F/&XCLH&<#\:4G8RP-X4I./Q2W
M\CVKPG"O]E"_,:0I,H$,2\+#"O"*/PY_&O-_$>JGQ#XD+*_^CAQ##_NYZ_B>
M:Z+2_$5M>^"I-(-Y%9WR1&)6F.U67V/TXKFX9+/0<S13Q7NI=(VC!,4'^UDC
MYF].P]ZSG*Z1ST*;C4E)K7H>NW<\.CZ-+,J@16T)*J/11P/Z5X3//)<W$D\K
M;I)&+LQ[DG)KT[^VHO%G@^XLXIHTU-H@&A=@I9@021GL<?AGFN,AT*+3)!<:
M[+'%&G(M8Y`\LI[#`)VCU)I5/>M;8,&E2YN;XC7TW3KBW\'M!&`EQJK!GD;@
M0VZ_Q,>PZ_7-8FHSKJ-U::1I*NUI$1'"",&5SUD/U/Y#TJ/5O$NHZONBEF,=
MKGY+>,`*H'0<=<>];7@%--MKV74M0O;:%XALA260*<D<M@^W'XFINF^5&SC*
MG%U)[]CN=UEX+\(O+*P$-I$6=NA=_P#$G@5XY\/[:;QO\2)=7U%3)%;9N6!Y
M4-GY%_/)_P"`UI_%OQA;ZHK:)IUQ'-;0QB:>2-@RE]ZA5R/09)^H]*S/@UXB
MT_1=9O[74)TMQ>1IY<LC!5W*3\I)Z9W?I70K#H4)PPDZUO>E^1V/Q?\`&7]D
M:5_8-DY%Y>I^]9?^6<70_BW(^F?:O)?#^B1S:9J&LW[M%8V\,D<6T@-/,4.$
M7(/09)/8"NO\:^&C?>*I]7UG7-/M]-=B1(DN^5XP3M5$');;@>G4UR.K:^NK
M745I8P&TTBS@E2TMLY(&QLN_J[=2?_UD9U8*"C14*6[U;_0YNK#_`/(.A_ZZ
MR?R2J]6'_P"0=#_UUD_DE(]=]`L/^0C:_P#75/YBJ]6+#_D(VO\`UU3^8JO1
MU#J6$_Y!TW_76/\`D]5ZL)_R#IO^NL?\GK1T+2OM<HN)E_<H>`?XC_A2;M=D
MRDHIMFOIVF"&]N+R4?O'D;8/09//XU9U.]^Q64KJ090N5!^H&?U%3W$\=M`\
MTK811DUR$UY)?/>S2<9B`5?[HWKQ6,4Y.[.2$74ES/8I*LES.%&6DD;OW)KO
M+>$6]M%#G.Q`N?7`Q7.^&[+S)VNW'RQ_*GU__5_.NGHJO6P\1.[Y5T"BBBLS
MG"BBB@"MJ%Q]ET^>;."JG'U/`KBW_P"0=#_UUD_DE;_B>XVVT-N#R[;C]!_^
MO]*P'_Y!T/\`UUD_DE;TUI<[*$;1N5ZL7_\`R$;K_KJ_\S5>K%__`,A&Z_ZZ
MO_,UIU.GJ"?\@Z;_`*ZQ_P`GJO5A/^0=-_UUC_D]5Z$"ZEB]_P!>O_7*+_T!
M:+;_`%%W_P!<A_Z&M%[_`*]?^N47_H"T6W^HN_\`KD/_`$-:.A/V45ZL7/\`
MJ+3_`*Y'_P!#:J]6+G_46G_7(_\`H;4,;W067^O;_KE+_P"@-5>K%E_KV_ZY
M2_\`H#57HZAU+#_\@Z'_`*ZR?R2J]6'_`.0=#_UUD_DE5Z$$=C8\6?\`(Y:Y
M_P!A"?\`]&-6/6QXL_Y'+7/^PA/_`.C&K'JGN10_A1]$%6+G_46G_7(_^AM5
M>K%S_J+3_KD?_0VJ66]T%A_R$;7_`*ZI_,57JQ8?\A&U_P"NJ?S%5Z.H=2P_
M_(.A_P"NLG\DJO5A_P#D'0_]=9/Y)5>A!'8L7_\`R$;K_KJ_\S0G_(.F_P"N
ML?\`)Z+_`/Y"-U_UU?\`F:$_Y!TW_76/^3T=!?917JQ>_P"O7_KE%_Z`M5ZL
M7O\`KU_ZY1?^@+1U*ZA;?ZB[_P"N0_\`0UJO5BV_U%W_`-<A_P"AK5>A`MV6
M+G_46G_7(_\`H;467^O;_KE+_P"@-1<_ZBT_ZY'_`-#:BR_U[?\`7*7_`-`:
MCH3]EE>K#_\`(.A_ZZR?R2J]6'_Y!T/_`%UD_DE`WT"P_P"0C:_]=4_F*KU8
ML/\`D(VO_75/YBJ]'4.I83_D'3?]=8_Y/5>K"?\`(.F_ZZQ_R>J]"&NI8O\`
M_D(W7_75_P"9HMO]1=_]<A_Z&M%__P`A&Z_ZZO\`S-%M_J+O_KD/_0UHZ$_9
M17JQ>_Z]?^N4?_H"U7JU=*TEU&BC+-'$`!W.Q:.HWN7-`M&N+_S"`8HU.[(Z
MY!&/UKKZJ:=9+86:0CENKGU-6ZYIRNSSZL^>5PHHHJ3,*"0`23@#J:*Y_P`0
MZ@?(%O`_#.R2$>P!Q^M.*N[%0@YNQFZSJ1O[G:A_<1\+[GUJI?\`_(1NO^NK
M_P`S5>K%_P#\A&Z_ZZO_`#-=*5M#T8Q4;)`G_(.F_P"NL?\`)ZKU83_D'3?]
M=8_Y/5>FAKJ6+W_7K_URB_\`0%HMO]1=_P#7(?\`H:T7O^O7_KE%_P"@+1;?
MZB[_`.N0_P#0UHZ"^RBO6WH^C3^(=7TC2[?.^X7:6Q]U=[EF_`9-8E>\_!OP
MVMOI`U^X0B:>,PP;A]U`[$G\3C\O>F<N/Q'L*3GUZ'5>)=3MO!'@AEL]D;PP
M>39QGNP4X^N`"3]*^7G=I'9W8L[$EF8Y))[DUZ-\3?%/]O>+Y+&WDS9:?%-$
MN.C2;&WM^F/P]Z\WHOJ897AW2I\TMY:EA_\`D'0_]=9/Y)18?\A&U_ZZI_,4
M/_R#H?\`KK)_)*+#_D(VO_75/YBET/1M[K*]6$_Y!TW_`%UC_D]5ZL)_R#IO
M^NL?\GH8VM"O5B__`.0C=?\`75_YFJ]6+_\`Y"-U_P!=7_F:.H^H6W^HN_\`
MKD/_`$-:KU8MO]1=_P#7(?\`H:U7H0EU+%[_`*]?^N47_H"T67^O;_KE+_Z`
MU%[_`*]?^N47_H"T67^O;_KE+_Z`U'05O<*]6+G_`%%I_P!<C_Z&U5ZL7/\`
MJ+3_`*Y'_P!#:@;Z!8?\A&U_ZZI_,5TWAR'R],\SO(Y/Y<?TKF;#_D(VO_75
M/YBNSTV/RM-MEQ@^6"?J1FLZK.?$.RL6J***P.,****!!5+5+X6%DT@QYC?*
M@]ZNUQVO71N=0P&!B15V8[@@'/ZU<(W9M1ASRL5(&+17C,<DQ`DGO\ZU6JQ;
M_P"HN_\`KD/_`$-:KUT([UU+%S_J+3_KD?\`T-J++_7M_P!<I?\`T!J+G_46
MG_7(_P#H;467^O;_`*Y2_P#H#4=!?997JP__`"#H?^NLG\DJO5A_^0=#_P!=
M9/Y)0-]`L/\`D(VO_75/YBJ]6+#_`)"-K_UU3^8I+.TEO;A88AR>I[`>M%[!
M=)MLNZ38'4(I8L[4$L;,?8!NGYUUT<:0Q+&@"HHP!Z"H[.TBLK988AP.I/4G
MUK&U_5=@-G`WS'_6,.WM6#;F]#BDW5G9%'7M1:ZNFMTR(HF(QZL.IJE:(TD=
MRB#+-&`!ZGS$IM__`,A&Z_ZZO_,UK>&;8M/-<$?(J[!GN<@_IC]:U=HQ.EVA
M3T.@LK9;.TC@7^$<GU/<U/117-N>>W=W"BBB@`HHI"0!DF@#CM>N//U20`Y6
M,;!^'7]<U4?_`)!T/_763^25"[M([.QRS$DGWJ9_^0=#_P!=9/Y)74E9)'I)
M<J2*]6+_`/Y"-U_UU?\`F:KU8O\`_D(W7_75_P"9I]2^H)_R#IO^NL?\GJO5
MA/\`D'3?]=8_Y/5>A`NI8O?]>O\`URB_]`6BV_U%W_UR'_H:T7O^O7_KE%_Z
M`M%M_J+O_KD/_0UHZ$_917JQ<_ZBT_ZY'_T-JKU8N?\`46G_`%R/_H;4,;W0
M67^O;_KE+_Z`U5ZL67^O;_KE+_Z`U5Z.H=2P_P#R#H?^NLG\DJO5A_\`D'0_
M]=9/Y)5>A!'8V/%G_(Y:Y_V$)_\`T8U8];'BS_D<M<_["$__`*,:L>J>Y%#^
M%'T058N?]1:?]<C_`.AM5>K%S_J+3_KD?_0VJ66]T%A_R$;7_KJG\Q5>K%A_
MR$;7_KJG\Q5>CJ'4L/\`\@Z'_KK)_)*KU:V,]C;HJEF,T@`'?A*V;#PV-HDO
M6.3_`,LU/3ZG_"DY)+4AU(P6IB7_`/R$;K_KJ_\`,T)_R#IO^NL?\GKM#I]F
M69C:PLS')+("2?QI)--LI(C&;:,*2"0J[>1]/J:S]JC'ZPK6L<)5B\_UZ_\`
M7*/_`-`6M?4?#IC4RV9+`<F,]?P]:R;T$7"@C!$4?_H"UHI*6QO&<9NZ$MO]
M1=_]<A_Z&M5ZL6W^HN_^N0_]#6J]-%K=EBY_U%I_UR/_`*&U%E_KV_ZY2_\`
MH#47/^HM/^N1_P#0VHLO]>W_`%RE_P#0&HZ$_997JP__`"#H?^NLG\DJO5A_
M^0=#_P!=9/Y)0-]`L/\`D(VO_75/YBJ]6+#_`)"-K_UU3^8JO1U#J6$_Y!TW
M_76/^3U7JPG_`"#IO^NL?\GJO0AKJ6+_`/Y"-U_UU?\`F:+;_47?_7(?^AK1
M?_\`(1NO^NK_`,S1;?ZB[_ZY#_T-:.A/V45ZZG2=/W7*WL@X$48C!]=BY/\`
M2L#3[)[^[6%<A>KMZ"NYC18XUC0850`!Z`5G4E;0PQ%2VB'4445@<84451O-
M2BM;B&W'S32NJ[?[H)ZFA*XTFW9%76]6^QQ^1"W[]AU_N#U^M<W(2=/A).29
MI/Y)4#NTCL[L69CDD]ZF?_D'0_\`763^25TQCRG?"FH)(KU8O_\`D(W7_75_
MYFJ]6+__`)"-U_UU?^9JNIKU!/\`D'3?]=8_Y/5>K"?\@Z;_`*ZQ_P`GJO0@
M74L7O^O7_KE%_P"@+1;?ZB[_`.N0_P#0UHO?]>O_`%RB_P#0%HMO]1=_]<A_
MZ&M'0G[*+WAG0IO$GB&STN'(\Y_WCC^!!RS?E^N*^A/'&NV_@CP.4L0L<Q06
MMG&/X3C&?^`@$_4`=Z^:K>YGM)/,MYY(9,8W1N5./J*M:A>75W#9FYN9IB(C
M@R.6Q\[>OT'Y4[G#BL&\15C*3]U="&S):X<DDDQ2DD_[C56JQ9?Z]O\`KE+_
M`.@-5>EU.];EA_\`D'0_]=9/Y)18?\A&U_ZZI_,4/_R#H?\`KK)_)*+#_D(V
MO_75/YBCH+[+*]6$_P"0=-_UUC_D]5ZL)_R#IO\`KK'_`">AC>Q7JQ?_`/(1
MNO\`KJ_\S5>K%_\`\A&Z_P"NK_S-'4?4+;_47?\`UR'_`*&M5ZL6W^HN_P#K
MD/\`T-:KT(%U+%[_`*]?^N47_H"T67^O;_KE+_Z`U%[_`*]?^N47_H"T67^O
M;_KE+_Z`U'0G[)7JQ<_ZBT_ZY'_T-JKU8N?]1:?]<C_Z&U`WT"P_Y"-K_P!=
M4_F*[J)=L2+Z*!7"V'_(1M?^NJ?S%=X,;1CICBL:NYR8G="T445D<P4444`9
M6O7OV6P,:G$DWRCV'<_Y]:Y>]_UZ_P#7*+_T!:L:U=F[U*0@Y2/Y%_#K^M5[
MW_7K_P!<H_\`T!:Z(1LCOHPY4@MO]1=_]<A_Z&M5ZL6W^HN_^N0_]#6J]6C9
M;LL7/^HM/^N1_P#0VHLO]>W_`%RE_P#0&HN?]1:?]<C_`.AM19?Z]O\`KE+_
M`.@-1T)^RRO5A_\`D'0_]=9/Y)5>K0C>6RMXXU+.TT@`'?A*&-]`TY&?4K8*
MI)$JGCT!KKM-TZ/3K?:,-(W+OZG_``J+2=*33X=S8:=Q\S>GL*DU/4H].M]Q
MPTK?<3U]_I6$Y<SLCCJ3=27+$CUC4396C>41YQ(4?[.<\_H:XTDLQ)))/))J
MT\KSVES+(VYVFC)/X/52M81Y4=-*GR*Q9O59]4N$499IF`'J=U=G86BV5E'`
M.H'S'U/>L73++S]<N[EQ\D4K8]VR:Z.LJDNAS5YWM%!11169SA1110`5G:I<
M^4;2$'YI9T'X`@G^E:-<QJ5SY_B.WC!^6*1%_'()_P`^U5!79I2CS2,&K#_\
M@Z'_`*ZR?R2J]6'_`.0=#_UUD_DE=)Z#Z%>K%_\`\A&Z_P"NK_S-5ZL7_P#R
M$;K_`*ZO_,T=1]03_D'3?]=8_P"3U7JPG_(.F_ZZQ_R>J]"!=2Q>_P"O7_KE
M%_Z`M%M_J+O_`*Y#_P!#6B]_UZ_]<HO_`$!:+;_47?\`UR'_`*&M'0G[**]6
M+G_46G_7(_\`H;57JQ<_ZBT_ZY'_`-#:AC>Z"R_U[?\`7*7_`-`:J]6++_7M
M_P!<I?\`T!JKT=0ZEA_^0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2J]"".QL>+/\`
MD<M<_P"PA/\`^C&K'K8\6?\`(Y:Y_P!A"?\`]&-6/5/<BA_"CZ(*L7/^HM/^
MN1_]#:J]6+G_`%%I_P!<C_Z&U2RWN@L/^0C:_P#75/YBJ]6+#_D(VO\`UU3^
M8J**,RS)&.KL%'XT=0ZLZCP_9A+%)Y$^<LS1Y[`@#_V6MJFQHL<:QJ,*H``]
MJ=7+)W=SS9RYG<****1(5S/B2QV2+>(.'(5_8XX/Y"NFJGJT0ETJY5NR%A]1
MS_2J@[,TI2Y9(XZV_P!1=_\`7(?^AK5>K%M_J+O_`*Y#_P!#6J]=*/174L7/
M^HM/^N1_]#:BR_U[?]<I?_0&HN?]1:?]<C_Z&U%E_KV_ZY2_^@-1T)^RRO5A
M_P#D'0_]=9/Y)5>K#_\`(.A_ZZR?R2@;Z!8?\A&U_P"NJ?S%5ZL6'_(1M?\`
MKJG\Q5>CJ'4L)_R#IO\`KK'_`">J]6$_Y!TW_76/^3U7H0UU+%__`,A&Z_ZZ
MO_,TMJI>*Z502QB``'?YTI+_`/Y"-U_UU?\`F:WO#VFM$INY1@NN$4^F<Y_0
M5,G:)G.:C"Y?TG3AI]H`P!F?ES_3\*T***YF[NYY\FY.["BBL+5=>6'=!:$-
M+T9^R_3U--1;V'"#D[(M:OJRZ>@C0!IW&0.RCU-<O:2/+JMO)(Q9VF4DGOR*
M2Z9GBM68EF,1)).2?G>DL/\`D(VO_75/YBNB,4D=L*:A%E>K#_\`(.A_ZZR?
MR2J]6'_Y!T/_`%UD_DE4:OH5ZL7_`/R$;K_KJ_\`,U7JQ?\`_(1NO^NK_P`S
M1U'U!/\`D'3?]=8_Y/5>K"?\@Z;_`*ZQ_P`GJO0@74L7O^O7_KE%_P"@+1;?
MZB[_`.N0_P#0UHO?]>O_`%RB_P#0%HMO]1=_]<A_Z&M'0G[**]6+G_46G_7(
M_P#H;57JQ<_ZBT_ZY'_T-J&-[H++_7M_URE_]`:J]6++_7M_URE_]`:J]'4.
MI8?_`)!T/_763^246'_(1M?^NJ?S%#_\@Z'_`*ZR?R2BP_Y"-K_UU3^8HZ"^
MRRO5A/\`D'3?]=8_Y/5>K"?\@Z;_`*ZQ_P`GH8WL5ZL7_P#R$;K_`*ZO_,U7
MJQ?_`/(1NO\`KJ_\S1U'U"V_U%W_`-<A_P"AK5>K%M_J+O\`ZY#_`-#6J]"!
M=2Q>_P"O7_KE%_Z`M%E_KV_ZY2_^@-1>_P"O7_KE%_Z`M%E_KV_ZY2_^@-1T
M)^R5ZL7/^HM/^N1_]#:J]6+G_46G_7(_^AM0-]`L/^0C:_\`75/YBNY@<26\
M3CHR`C\JX:P_Y"-K_P!=4_F*ZS0YQ/I47/S1_(?PZ?IBLJJZG-B5U-&BBBL3
MD"JNI7/V33YI@<,%POU/`JU6-XF8C34`/!E`/Y&G%79=-7DD<G5B]_UZ_P#7
M*+_T!:KU8O?]>O\`URB_]`6NKJ>EU"V_U%W_`-<A_P"AK5>K%M_J+O\`ZY#_
M`-#6J]"!;LL7'^HM/^N1_P#0VHLO]>W_`%RE_P#0&HN?]1:?]<C_`.AM4FF0
M27%X8XUR3&X]AE".?SI="6[196BB>:58XU+.QP`.]=EI6FBQME$F&FR6S_=S
MC('Y"ETS2HM/CSP\Q'S/C]![4[4M1BTZ`.XW.W")ZUE*?-HCDJ5'4?+$EN;R
M*U:)7;YY7"(HZG)Q^5<1<W,MW.TTS9=OR'L*L0W,MWK%O-,VYS,GT`ST%4:N
M$.4WI4N3U+"?\@Z;_KK'_)Z@4%F"@$DG``[U.G_(.F_ZZQ_R>M#P]9^?>F=A
M^[AY^K=JINR;+E+E39U$$"P(RK_$[.3[DYJ6BBN4\UNX4444`%%%%`$5Q,MO
M;R3-T12U<3:.TFJP2,<LTZDGW+5O^);GR[1+<'F1LGZ#_P"OBN>L/^0C:_\`
M75/YBMJ:]VYV4(V@V5ZL/_R#H?\`KK)_)*KU8?\`Y!T/_763^25J=#Z%>K%_
M_P`A&Z_ZZO\`S-5ZL7__`"$;K_KJ_P#,T=1]03_D'3?]=8_Y/5>K"?\`(.F_
MZZQ_R>J]"!=2Q>_Z]?\`KE%_Z`M%M_J+O_KD/_0UHO?]>O\`URB_]`6BV_U%
MW_UR'_H:T="?LHKU8N?]1:?]<C_Z&U5ZL7/^HM/^N1_]#:AC>Z"R_P!>W_7*
M7_T!JKU8LO\`7M_URE_]`:J]'4.I8?\`Y!T/_763^257JP__`"#H?^NLG\DJ
MO0@CL;'BS_D<M<_["$__`*,:L>MCQ9_R.6N?]A"?_P!&-6/5/<BA_"CZ(*L7
M/^HM/^N1_P#0VJO5BY_U%I_UR/\`Z&U2RWN@L/\`D(VO_75/YBBPQ_:-KGIY
MJ?S%%A_R$;7_`*ZI_,5"CF.177JI!%#$U>YZ'13(I%EB213E74,/QI]<AYC"
MBBB@`JIJ;K'I=R6.`8V7\2,?UJW7,>(M1\QQ9Q'Y%PSG^]QD?AS505V:4HN4
MD9-M_J+O_KD/_0UJO5BV_P!1=_\`7(?^AK5>NE'HKJ6+G_46G_7(_P#H;467
M^O;_`*Y2_P#H#47/^HM/^N1_]#:BR_U[?]<I?_0&HZ$_997JP_\`R#H?^NLG
M\DJO5A_^0=#_`-=9/Y)0-]`L/^0C:_\`75/YBJ]6+#_D(VO_`%U3^8JO1U#J
M6$_Y!TW_`%UC_D]5ZL)_R#YL?\]H_P"3UKZ5H)D*SWBD)U6(]3]:3DEN3*:A
M=LDM-&-SJ=Q<W*_N1,Q53_'R?TKHJ**YI2;."<W+<*CFGBMXC),X1!U)K-O]
M>M[7*0XFE]C\H^IKGM4N9;FZ5I')'EHP7L,J"<?B:J--O<NG1<GJ:5QKCWDS
MPP`I#Y<G)ZMA#^5<_5BR_P!>W_7*7_T!JKUNDEHCLA%1=D6+G_46G_7(_P#H
M;46'_(1M?^NJ?S%%S_J+3_KD?_0VHL/^0C:_]=4_F*?0?V65ZL/_`,@Z'_KK
M)_)*KU8?_D'0_P#763^24#?0KU8O_P#D(W7_`%U?^9JO5B__`.0C=?\`75_Y
MFCJ/J"?\@Z;_`*ZQ_P`GJO5A/^0=-_UUC_D]5Z$"ZEB]_P!>O_7*+_T!:+;_
M`%%W_P!<A_Z&M%[_`*]?^N47_H"T6W^HN_\`KD/_`$-:.A/V45ZL7/\`J+3_
M`*Y'_P!#:J]6+G_46G_7(_\`H;4,;W067^O;_KE+_P"@-5>K%E_KV_ZY2_\`
MH#57HZAU+#_\@Z'_`*ZR?R2BP_Y"-K_UU3^8H?\`Y!T/_763^246'_(1M?\`
MKJG\Q1T%]EE>K"?\@Z;_`*ZQ_P`GJO5A/^0=-_UUC_D]#&]BO5B__P"0C=?]
M=7_F:KU8O_\`D(W7_75_YFCJ/J%M_J+O_KD/_0UJO5BV_P!1=_\`7(?^AK5>
MA`NI8O?]>O\`URB_]`6BR_U[?]<I?_0&HO?]>O\`URB_]`6BR_U[?]<I?_0&
MHZ$_9*]6+G_46G_7(_\`H;57JQ<_ZBT_ZY'_`-#:@;Z!8?\`(1M?^NJ?S%:/
MAZ^%O=F!SA)NA/9NWYUG6'_(1M?^NJ?S%5P<'(ZTFKZ$RBI73/1:*R='U07-
MM&EPX$Q8HI/\>`/UYK6KF:LSSY1<79A6+XG_`.0=%_UV'\C6U4%Y:QWML\$G
MW6Z$=CZT1=G<*<N629P-6+W_`%Z_]<HO_0%JU<Z'?6[';$94'1H^<_AUIEW9
MW33KMMIC^ZC'$9Z[!73S)GH*<6[ID%O_`*B[_P"N0_\`0UJO6S9:+>O'.KQ^
M4)(PH+GON4].O0&M6R\/VML0\Q\^0?WA\H_"I<TB)5HQN9-MI$^H16C#Y(1&
M0SG_`'V/`KI;2R@L8?+A3'J3U/UI\T\-K$7E=8T'<UA3Z\UU*\-L"D7ER'>?
MO$A"1CTZ5G>4SG;G5]"YJFM160:*+$EQZ=E^O^%<Y<S27%G%+*Y=VFDR3]$J
MF>3D]:L/_P`@Z'_KK)_)*UC!1.F%-0M8+#_D(VO_`%U3^8JO5BP_Y"-K_P!=
M4_F*KU74TZEF,$Z?,`,DS1\?@]=AIEF+&PCBQ\^-S_[Q_P`XK#\.VRW#2EQ\
ML<B.!ZD!O\:ZBL:DM;')B)Z\H4445D<P4444`%%%4]4NOL>GRR@_-C:OU-"5
MW8:5W8YO7YEN+V.1/N^65'X.P_I5*P_Y"-K_`-=4_F*+G_46G_7(_P#H;46'
M_(1M?^NJ?S%=25E8]&*M"Q7JP_\`R#H?^NLG\DJO5A_^0=#_`-=9/Y)3*?0K
MU:O%9]4N$499IF``[G=56NJTS3LZE=7LJ\><XC!^IR:4I6U)J34-2S9:/;6]
MD(YHUD9L-(6YY_\`K9-<?+L$S^7]S<=OT[5U6OWIAL7BB;#L55\=E(/^%<E4
MT[[LSH<SO)EB]_UZ_P#7*+_T!:+;_47?_7(?^AK1>_Z]?^N47_H"T6W^HN_^
MN0_]#6KZ&OV45ZL7/^HM/^N1_P#0VJO5BY_U%I_UR/\`Z&U#&]T%E_KV_P"N
M4O\`Z`U5ZL67^O;_`*Y2_P#H#57HZAU+#_\`(.A_ZZR?R2J]6'_Y!T/_`%UD
M_DE5Z$$=C8\6?\CEKG_80G_]&-6/6QXL_P"1RUS_`+"$_P#Z,:L>J>Y%#^%'
MT058N?\`46G_`%R/_H;57JQ<_P"HM/\`KD?_`$-JEEO=!8?\A&U_ZZI_,57J
MQ8?\A&U_ZZI_,57HZAU.M\/7/F:>L3L-RLP0>H&#_P"S5L5P\4\EM:VTT38=
M9I"/R2NJTW4XM0ARI"RC[R>GT]JPG&VIQ5J;3YD7JKW5[!91&29\`8&!R2?\
M@U),)&@<0L%D*G:3T!KCKF&YAMKC[4KB0S1Y+=^'[]ZF$4R:4%+=DVHZ[->!
MHH08H3UY^9OJ:HWO^O7_`*Y1_P#H"U7JQ>_Z]?\`KE%_Z`M="26QW1BHNR"V
M_P!1=_\`7(?^AK5>K%M_J+O_`*Y#_P!#6J]-%+=EBY_U%I_UR/\`Z&U%E_KV
M_P"N4O\`Z`U%S_J+3_KD?_0VHLO]>W_7*7_T!J.A/V65ZL/_`,@Z'_KK)_)*
MCBMYISB*)Y#_`+*DULPZ#=SVD4<FV';(['=R<$+CI]#2<DMQ2G&-KLRK#_D(
MVO\`UU3^8I]GIMU?-^YC.WN[<*/QKIK/0;2T99#NED4Y#-T!]A5R>\M;-?WL
MJ1@#A<\_@*S=370PE7U]Q%;3M'AL8_F/FR$AB2.`1G&/S-:-8EQXBC%O));1
MERCJN7X'()S^E8-WJEW>9$LIV'^!>!4J$I:LA4IS=Y'3WNN6EF60,991QL3L
M?<UAS:M<W\-V'(2,1`A%_P!]1U_&J%__`,A&Z_ZZO_,T6W^HN_\`KD/_`$-:
MT4$E<WC1C%7*]6+W_7K_`-<HO_0%JO5B]_UZ_P#7*+_T!:OJ;=0LO]>W_7*7
M_P!`:J]6++_7M_URE_\`0&JO1U%U+%S_`*BT_P"N1_\`0VHL/^0C:_\`75/Y
MBBY_U%I_UR/_`*&U%A_R$;7_`*ZI_,4=!?997JP__(.A_P"NLG\DJO5A_P#D
M'0_]=9/Y)0-]"O5B_P#^0C=?]=7_`)FJ]6+_`/Y"-U_UU?\`F:.H^H)_R#IO
M^NL?\GJO5A/^0=-_UUC_`)/5>A`NI8O?]>O_`%RB_P#0%HMO]1=_]<A_Z&M%
M[_KU_P"N47_H"T6W^HN_^N0_]#6CH3]E%>K%S_J+3_KD?_0VJO5BY_U%I_UR
M/_H;4,;W067^O;_KE+_Z`U5ZL67^O;_KE+_Z`U5Z.H=2P_\`R#H?^NLG\DHL
M/^0C:_\`75/YBA_^0=#_`-=9/Y)18?\`(1M?^NJ?S%'07V65ZL)_R#IO^NL?
M\GJO5A/^0=-_UUC_`)/0QO8KU8O_`/D(W7_75_YFJ]6+_P#Y"-U_UU?^9HZC
MZA;?ZB[_`.N0_P#0UJO5BV_U%W_UR'_H:U7H0+J6+W_7K_URB_\`0%HLO]>W
M_7*7_P!`:B]_UZ_]<HO_`$!:++_7M_URE_\`0&HZ$_9*]6+G_46G_7(_^AM5
M>K%S_J+3_KD?_0VH&^@6'_(1M?\`KJG\Q5>K%A_R$;7_`*ZI_,57HZAU+#$C
M3X".OG2?R2M&Q\0SVX$=P/.0=\_,/Q[UG/\`\@Z'_KK)_)*KTK)K4EP4EJ=P
MNKV)F>)IU1T8J0_'(/KTJVDB2#*.K#U4YKA+_P#Y"-U_UU?^9H3_`)!TW_76
M/^3UG[)&#PZM=,[VD9@HRQ`'N:\_\^7_`)ZO_P!]&I;XDW"DDD^5'U_W%I>R
M\Q?5M;7.QEU.SB5V-PC;!E@AW$<@=O<BL:Z\3,<K:PX_VY/\*QK?_47?_7(?
M^AK5>KC374TA0BMRY?SRW"6LDKEW,1))_P!]JCLO]>W_`%RE_P#0&HN?]1:?
M]<C_`.AM19?Z]O\`KE+_`.@-5=#5*T2O5A_^0=#_`-=9/Y)5>K#_`/(.A_ZZ
MR?R2F-]`L/\`D(VO_75/YBJX&3@=:L6'_(1M?^NJ?S%7=!LOM5^)&'[N'YC[
MGL/\^E)NVHI2Y;MG1Z59_8;!(R/G/S/]35VBBN5N[/-;N[L****!!1110`5R
M_B6[\RY2U4\1C<WU/_UOYUTLTBPPR2M]U%+'Z"N!GF:XGDF?[SL6-:TE=W.C
M#PO*Y)<_ZBT_ZY'_`-#:BP_Y"-K_`-=4_F*+G_46G_7(_P#H;46'_(1M?^NJ
M?S%;=#K^RRO5A_\`D'0_]=9/Y)5>K:Q/-9VT4:EG::0`#Z)0QO2P[3+!M0NQ
M'TC7EV]!787MW'8VKS/T'0>I]*CT^QCTZT$8(+=7?U-<UKE^UW?-$.(X6*@>
MI[FL?CD<K_?3\D5Y)WN;6YFD.7>:,G\GJG5A/^0=-_UUC_D]5ZV1U15BQ>_Z
M]?\`KE%_Z`M%M_J+O_KD/_0UHO?]>O\`URB_]`6BV_U%W_UR'_H:T=!?917J
MQ<_ZBT_ZY'_T-JKU8N?]1:?]<C_Z&U#&]T%E_KV_ZY2_^@-5>K%E_KV_ZY2_
M^@-5>CJ'4L/_`,@Z'_KK)_)*KU8?_D'0_P#763^257H01V-CQ9_R.6N?]A"?
M_P!&-6/6QXL_Y'+7/^PA/_Z,:L>J>Y%#^%'T058N?]1:?]<C_P"AM5>K%S_J
M+3_KD?\`T-JEEO=!8?\`(1M?^NJ?S%5ZL6'_`"$;7_KJG\Q5>CJ'4L/_`,@Z
M'_KK)_)*ACD>*021L5=>00<$5,__`"#H?^NLG\DJO0@6QTP\1>1>30W,6421
ME5TZ@`]Q6G'>V-_"<21NF<%7&.?H?H:XZ_\`^0C=?]=7_F:$_P"0=-_UUC_D
M]9NFK71A*A%JZT.JFT+3YLD1%">Z-C_ZU07'AR&9PPGD4A57D`]``/Y5S$<\
MT0Q'+(@_V6(J_<ZG>Q3($N9`/*C/7/)0$T<LELQ>SJ)Z2-2/PUY<<R_:\^8F
MW/E]/F!]?:FKX60??NV/T3']:SX=6OGAN2URY*Q`CIP=ZC^1-5'U*^?K=S?@
MY'\J+3[C4:O<Z7_A'[,K&)'E81KM'(`ZD_UJ6*UTJS;Y1`KX/WFR<8YZ^V:Y
M:[EDD@M=\CMF(DY).?G:F67^O;_KE+_Z`U'([:L7LI-:R.HDU_3H5Q&S/CLB
M8_GBJEQXC<6RRP0`;G91O.>@4YX^M<U5A_\`D'0_]=9/Y)3]FD4J$%8O0ZO?
M76H6ZR3D(TJ@JO`QD5E$DG).34]A_P`A&U_ZZI_,57JTDGH:QBD]"PG_`"#I
MO^NL?\GJO5A/^0=-_P!=8_Y/5>A%+J6+_P#Y"-U_UU?^9HMO]1=_]<A_Z&M%
M_P#\A&Z_ZZO_`#-%M_J+O_KD/_0UHZ$_917JQ>_Z]?\`KE%_Z`M5ZL7O^O7_
M`*Y1?^@+1U*ZA9?Z]O\`KE+_`.@-5>K%E_KV_P"N4O\`Z`U5Z.HNI8N?]1:?
M]<C_`.AM18?\A&U_ZZI_,47/^HM/^N1_]#:BP_Y"-K_UU3^8HZ"^RRO5A_\`
MD'0_]=9/Y)5>K#_\@Z'_`*ZR?R2@;Z%>K%__`,A&Z_ZZO_,U7JQ?_P#(1NO^
MNK_S-'4?4$_Y!TW_`%UC_D]5ZL)_R#IO^NL?\GJO0@74L7O^O7_KE%_Z`M%M
M_J+O_KD/_0UHO?\`7K_URB_]`6BV_P!1=_\`7(?^AK1T)^RBO5BY_P!1:?\`
M7(_^AM5>K%S_`*BT_P"N1_\`0VH8WN@LO]>W_7*7_P!`:J]6++_7M_URE_\`
M0&JO1U#J6'_Y!T/_`%UD_DE%A_R$;7_KJG\Q0_\`R#H?^NLG\DHL/^0C:_\`
M75/YBCH+[+*]6$_Y!TW_`%UC_D]5ZL)_R#IO^NL?\GH8WL5ZL7__`"$;K_KJ
M_P#,U7JQ?_\`(1NO^NK_`,S1U'U"V_U%W_UR'_H:U7JQ;?ZB[_ZY#_T-:KT(
M%U+%[_KU_P"N47_H"T67^O;_`*Y2_P#H#47O^O7_`*Y1?^@+19?Z]O\`KE+_
M`.@-1T)^R5ZL7/\`J+3_`*Y'_P!#:J]6+G_46G_7(_\`H;4#?0+#_D(VO_75
M/YBJ]6+#_D(VO_75/YBJ]'4.I8?_`)!T/_763^257JP__(.A_P"NLG\DJO0@
MCL6+_P#Y"-U_UU?^9H3_`)!TW_76/^3T7_\`R$;K_KJ_\S0G_(.F_P"NL?\`
M)Z.@OLHKU8O?]>O_`%RB_P#0%JO5B]_UZ_\`7*+_`-`6CJ5U"V_U%W_UR'_H
M:U7JQ;?ZB[_ZY#_T-:KT(%NRQ<_ZBT_ZY'_T-J++_7M_URE_]`:BY_U%I_UR
M/_H;467^O;_KE+_Z`U'0G[+*]6'_`.0=#_UUD_DE5ZL/_P`@Z'_KK)_)*!OH
M%A_R$;7_`*ZI_,5UVD6?V+3T1AB1_F?ZGM7.:%:&YU%'(^2'YR??M^O\J[*L
M:KUL<N)EKRH****R.4****`"BBD)"J23@`9)H`RM8N]@%JI^:2*1F^@1L?K_
M`"KD*TI+LWNJSS?PF.4*/0!&Q6;73!61Z%*'*K%BY_U%I_UR/_H;46'_`"$;
M7_KJG\Q1<_ZBT_ZY'_T-J+#_`)"-K_UU3^8JNA?V65Z[#1-/-K:(TRCS22P]
M5!`X_051T+2,[;RX7CK&A_F:TM7U(:?;#;S-)D)[>IK*<N9\J.>K/G?)$H>(
M-3V*;*%OF8?O".P]*PK_`/Y"-U_UU?\`F:@9B[%F)+$Y)/<U/?\`_(1NO^NK
M_P`S5QCRZ&T(*%D"?\@Z;_KK'_)ZKU83_D'3?]=8_P"3U7JD:+J6+W_7K_UR
MB_\`0%HMO]1=_P#7(?\`H:T7O^O7_KE%_P"@+1;?ZB[_`.N0_P#0UHZ$_917
MJQ<_ZBT_ZY'_`-#:J]6+G_46G_7(_P#H;4,;W067^O;_`*Y2_P#H#57JQ9?Z
M]O\`KE+_`.@-5>CJ'4L/_P`@Z'_KK)_)*KU8?_D'0_\`763^257H01V-CQ9_
MR.6N?]A"?_T8U8];'BS_`)'+7/\`L(3_`/HQJQZI[D4/X4?1!5BY_P!1:?\`
M7(_^AM5>K%S_`*BT_P"N1_\`0VJ66]T%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q
M5>CJ'4L/_P`@Z'_KK)_)*KU8?_D'0_\`763^257H01V+%_\`\A&Z_P"NK_S-
M"?\`(.F_ZZQ_R>B__P"0C=?]=7_F:$_Y!TW_`%UC_D]'07V45ZL7O^O7_KE%
M_P"@+5>K%[_KU_ZY1?\`H"T=2NH6W^HN_P#KD/\`T-:KU8MO]1=_]<A_Z&M5
MZ$"W98N?]1:?]<C_`.AM19?Z]O\`KE+_`.@-1<_ZBT_ZY'_T-J++_7M_URE_
M]`:CH3]EE>K#_P#(.A_ZZR?R2J]6'_Y!T/\`UUD_DE`WT"P_Y"-K_P!=4_F*
MKU8L/^0C:_\`75/YBJ]'4.I83_D'3?\`76/^3U7JPG_(.F_ZZQ_R>J]"&NI8
MO_\`D(W7_75_YFBV_P!1=_\`7(?^AK1?_P#(1NO^NK_S-%M_J+O_`*Y#_P!#
M6CH3]E%>K%[_`*]?^N47_H"U7JQ>_P"O7_KE%_Z`M'4KJ%E_KV_ZY2_^@-5>
MK%E_KV_ZY2_^@-5>CJ+J6+G_`%%I_P!<C_Z&U%A_R$;7_KJG\Q1<_P"HM/\`
MKD?_`$-J+#_D(VO_`%U3^8HZ"^RRO5A_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R
M2@;Z%>K%_P#\A&Z_ZZO_`#-5ZL7_`/R$;K_KJ_\`,T=1]03_`)!TW_76/^3U
M7JPG_(.F_P"NL?\`)ZKT(%U+%[_KU_ZY1?\`H"T6W^HN_P#KD/\`T-:+W_7K
M_P!<HO\`T!:+;_47?_7(?^AK1T)^RBO5BY_U%I_UR/\`Z&U5ZL7/^HM/^N1_
M]#:AC>Z"R_U[?]<I?_0&JO5BR_U[?]<I?_0&JO1U#J6'_P"0=#_UUD_DE%A_
MR$;7_KJG\Q0__(.A_P"NLG\DHL/^0C:_]=4_F*.@OLLKU83_`)!TW_76/^3U
M7JPG_(.F_P"NL?\`)Z&-[%>K%_\`\A&Z_P"NK_S-5ZL7_P#R$;K_`*ZO_,T=
M1]0MO]1=_P#7(?\`H:U7JQ;?ZB[_`.N0_P#0UJO0@74L7O\`KU_ZY1?^@+19
M?Z]O^N4O_H#47O\`KU_ZY1?^@+19?Z]O^N4O_H#4="?LE>K%S_J+3_KD?_0V
MJO5BY_U%I_UR/_H;4#?0+#_D(VO_`%U3^8JO5BP_Y"-K_P!=4_F*KT=0ZEA_
M^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2J]"".Q8O_\`D(W7_75_YFA/^0=-_P!=
M8_Y/1?\`_(1NO^NK_P`S0G_(.F_ZZQ_R>CH+[**]6+W_`%Z_]<HO_0%JO5B]
M_P!>O_7*+_T!:.I74+;_`%%W_P!<A_Z&M5ZL6W^HN_\`KD/_`$-:KT(%NRQ<
M_P"HM/\`KD?_`$-J++_7M_URE_\`0&HN?]1:?]<C_P"AM19?Z]O^N4O_`*`U
M'0G[+*]6'_Y!T/\`UUD_DE5ZVM(LOM@M]PS''+([>_"8%*3LKA.7*KLV]&LO
ML>GH&&))/G?_``K0HHKE;N[GFR?,[L****!!1110`5D>(;S[/8>2IP\WR_\`
M`>_^'XUKUQFN7!N-38AMT85=GT(!_K5TU=FU"'-,JV7^O;_KE+_Z`U5ZL67^
MO;_KE+_Z`U5ZZ.IW=2Q<_P"HM/\`KD?_`$-JUM#TAI72\G!6-2&C7NQ]?I4^
MG:,)XK6:Z4A4CP(R.IW,>?;D5LSW4-J8U=@&D8(BCJ23BLI3Z(YJE7[,2+4+
M^+3K8R-@L>$3U-<G=W$EU:QS2MN=II,_DE0W=W+>SF:9LD]!V`]!2O\`\@Z'
M_KK)_)*J,.4TITN2W<KU8O\`_D(W7_75_P"9JO5B_P#^0C=?]=7_`)FKZFW4
M$_Y!TW_76/\`D]5ZL)_R#IO^NL?\GJO0@74L7O\`KU_ZY1?^@+1;?ZB[_P"N
M0_\`0UHO?]>O_7*+_P!`6BV_U%W_`-<A_P"AK1T)^RBO5BY_U%I_UR/_`*&U
M5ZL7/^HM/^N1_P#0VH8WN@LO]>W_`%RE_P#0&JO5BR_U[?\`7*7_`-`:J]'4
M.I8?_D'0_P#763^257JP_P#R#H?^NLG\DJO0@CL;'BS_`)'+7/\`L(3_`/HQ
MJQZV/%G_`".6N?\`80G_`/1C5CU3W(H?PH^B"K%S_J+3_KD?_0VJO5BY_P!1
M:?\`7(_^AM4LM[H+#_D(VO\`UU3^8JO5BP_Y"-K_`-=4_F*KT=0ZEA_^0=#_
M`-=9/Y)5>K#_`/(.A_ZZR?R2J]"".Q8O_P#D(W7_`%U?^9H3_D'3?]=8_P"3
MT7__`"$;K_KJ_P#,T)_R#IO^NL?\GHZ"^RBO5B]_UZ_]<HO_`$!:KU8O?]>O
M_7*+_P!`6CJ5U"V_U%W_`-<A_P"AK5>K%M_J+O\`ZY#_`-#6J]"!;LL7/^HM
M/^N1_P#0VHLO]>W_`%RE_P#0&HN?]1:?]<C_`.AM19?Z]O\`KE+_`.@-1T)^
MRRO5A_\`D'0_]=9/Y)5>K#_\@Z'_`*ZR?R2@;Z!8?\A&U_ZZI_,57JQ8?\A&
MU_ZZI_,57HZAU+"?\@Z;_KK'_)ZKU83_`)!TW_76/^3U7H0UU+%__P`A&Z_Z
MZO\`S-%M_J+O_KD/_0UHO_\`D(W7_75_YFBV_P!1=_\`7(?^AK1T)^RBO5B]
M_P!>O_7*+_T!:KU8O?\`7K_URB_]`6CJ5U"R_P!>W_7*7_T!JKU8LO\`7M_U
MRE_]`:J]'474L7/^HM/^N1_]#:BP_P"0C:_]=4_F*+G_`%%I_P!<C_Z&U%A_
MR$;7_KJG\Q1T%]EE>K#_`/(.A_ZZR?R2J]6'_P"0=#_UUD_DE`WT*]6+_P#Y
M"-U_UU?^9JO5B_\`^0C=?]=7_F:.H^H)_P`@Z;_KK'_)ZKU83_D'3?\`76/^
M3U7H0+J6+W_7K_URB_\`0%HMO]1=_P#7(?\`H:T7O^O7_KE%_P"@+1;?ZB[_
M`.N0_P#0UHZ$_917JQ<_ZBT_ZY'_`-#:J]6+G_46G_7(_P#H;4,;W067^O;_
M`*Y2_P#H#57JQ9?Z]O\`KE+_`.@-5>CJ'4L/_P`@Z'_KK)_)*+#_`)"-K_UU
M3^8H?_D'0_\`763^246'_(1M?^NJ?S%'07V65ZL)_P`@Z;_KK'_)ZKU83_D'
M3?\`76/^3T,;V*]6+_\`Y"-U_P!=7_F:KU8O_P#D(W7_`%U?^9HZCZA;?ZB[
M_P"N0_\`0UJO5BV_U%W_`-<A_P"AK5>A`NI8O?\`7K_URB_]`6BR_P!>W_7*
M7_T!J+W_`%Z_]<HO_0%HLO\`7M_URE_]`:CH3]DKU8N?]1:?]<C_`.AM5>K%
MS_J+3_KD?_0VH&^@6'_(1M?^NJ?S%5ZL6'_(1M?^NJ?S%5Z.H=2P_P#R#H?^
MNLG\DJO5A_\`D'0_]=9/Y)5>A!'8L7__`"$;K_KJ_P#,T)_R#IO^NL?\GHO_
M`/D(W7_75_YFA/\`D'3?]=8_Y/1T%]E%>K%[_KU_ZY1?^@+5>K%[_KU_ZY1?
M^@+1U*ZA;?ZB[_ZY#_T-:KU8MO\`47?_`%R'_H:U7H0+=EBY_P!1:?\`7(_^
MAM19?Z]O^N4O_H#47/\`J+3_`*Y'_P!#:BR_U[?]<I?_`$!J.A/V65Z[31+0
MVFFH'^_(=Y'IG_ZP%<UH]E]MU!%(_=I\[_0=J[:LJLNASXF?V0HHHK$Y`HHH
MH`****`,K7KW[+8&-3B2;Y1[#N?\^M<O>_Z]?^N4?_H"U<U%Y]6U%S;QO)&I
MV)M&1@=ZT$\//<3))<2;$$:*47DY"@'V[5O&T5J=E-QIK4QM.C>:[*1J68Q2
M``>Z$5T.EZ#':E9KG$DPY"]E_P`36A#;VNG0'RU6-`,L3U./4UAZCXB+@Q66
M5'>0CD_0=JER<WH2YSJ.T=C4U/5HM.3;C?,PRJ?U-<Q#<RW>L6\TSEG,R?AS
MT%1W1+16K,228B23W^=Z2P_Y"-K_`-=4_F*N,4D:PIJ,7W*]6'_Y!T/_`%UD
M_DE5ZL/_`,@Z'_KK)_)*LU?0KU8O_P#D(W7_`%U?^9JO5B__`.0C=?\`75_Y
MFCJ/J"?\@Z;_`*ZQ_P`GJO5A/^0=-_UUC_D]5Z$"ZEB]_P!>O_7*+_T!:+;_
M`%%W_P!<A_Z&M%[_`*]?^N47_H"T6W^HN_\`KD/_`$-:.A/V45ZL7/\`J+3_
M`*Y'_P!#:J]6+G_46G_7(_\`H;4,;W067^O;_KE+_P"@-5>K%E_KV_ZY2_\`
MH#57HZAU+#_\@Z'_`*ZR?R2J]6'_`.0=#_UUD_DE5Z$$=C8\6?\`(Y:Y_P!A
M"?\`]&-6/6QXL_Y'+7/^PA/_`.C&K'JGN10_A1]$%6+G_46G_7(_^AM5>K%S
M_J+3_KD?_0VJ66]T%A_R$;7_`*ZI_,57JQ8?\A&U_P"NJ?S%5Z.H=2P__(.A
M_P"NLG\DJO5A_P#D'0_]=9/Y)5>A!'8L7_\`R$;K_KJ_\S0G_(.F_P"NL?\`
M)Z+_`/Y"-U_UU?\`F:$_Y!TW_76/^3T=!?917JQ>_P"O7_KE%_Z`M5ZL7O\`
MKU_ZY1?^@+1U*ZA;?ZB[_P"N0_\`0UJO5BV_U%W_`-<A_P"AK5>A`MV6+G_4
M6G_7(_\`H;467^O;_KE+_P"@-1<_ZBT_ZY'_`-#:BR_U[?\`7*7_`-`:CH3]
MEE>K#_\`(.A_ZZR?R2J]6'_Y!T/_`%UD_DE`WT"P_P"0C:_]=4_F*KU8L/\`
MD(VO_75/YBJ]'4.I83_D'3?]=8_Y/5>K"?\`(.F_ZZQ_R>J]"&NI8O\`_D(W
M7_75_P"9HMO]1=_]<A_Z&M%__P`A&Z_ZZO\`S-%M_J+O_KD/_0UHZ$_917JQ
M>_Z]?^N47_H"U7JQ>_Z]?^N47_H"T=2NH67^O;_KE+_Z`U5ZL67^O;_KE+_Z
M`U5Z.HNI8N?]1:?]<C_Z&U%A_P`A&U_ZZI_,47/^HM/^N1_]#:BP_P"0C:_]
M=4_F*.@OLLKU8?\`Y!T/_763^257JP__`"#H?^NLG\DH&^A7JQ?_`/(1NO\`
MKJ_\S5>K%_\`\A&Z_P"NK_S-'4?4$_Y!TW_76/\`D]5ZL)_R#IO^NL?\GJO0
M@74L7O\`KU_ZY1?^@+1;?ZB[_P"N0_\`0UHO?]>O_7*+_P!`6BV_U%W_`-<A
M_P"AK1T)^RBO5BY_U%I_UR/_`*&U5ZL7/^HM/^N1_P#0VH8WN@LO]>W_`%RE
M_P#0&JO5BR_U[?\`7*7_`-`:J]'4.I8?_D'0_P#763^246'_`"$;7_KJG\Q0
M_P#R#H?^NLG\DHL/^0C:_P#75/YBCH+[+*]6$_Y!TW_76/\`D]5ZL)_R#IO^
MNL?\GH8WL5ZL7_\`R$;K_KJ_\S5>K%__`,A&Z_ZZO_,T=1]0MO\`47?_`%R'
M_H:U7JQ;?ZB[_P"N0_\`0UJO0@74L7O^O7_KE%_Z`M%E_KV_ZY2_^@-1>_Z]
M?^N47_H"T67^O;_KE+_Z`U'0G[)7JQ<_ZBT_ZY'_`-#:J]6+G_46G_7(_P#H
M;4#?0+#_`)"-K_UU3^8JO5BP_P"0C:_]=4_F*KT=0ZEA_P#D'0_]=9/Y)5>K
M#_\`(.A_ZZR?R2J]"".Q8O\`_D(W7_75_P"9H3_D'3?]=8_Y/1?_`/(1NO\`
MKJ_\S0G_`"#IO^NL?\GHZ"^RBO5B]_UZ_P#7*+_T!:KU8O?]>O\`URB_]`6C
MJ5U"W_U%W_UR'_H:U7JU9QO+%=K&C.QB&`HR?OK5B'0M0F_Y8B,>KG'_`->E
M=+<GFBKW95N/]1:?]<C_`.AM19?Z]O\`KE+_`.@-6^OASS(X!/<8\M-I"#K\
MQ/4_7TJY;Z'8VS!@C.V",NV>HP>.G0U#J(Q=>"5AN@V7V6P#L,22_,?8=A_G
MUK4HHK%N[N<<I.3NPHHHI""BBB@`H/3GI17+ZIJ!NY;R.-CY,46T8[G>N3_2
MG&-V7"#F[&[/J5E:#$DZ`C^%>3^0K+O_`!$8F\NVB&2JMO?T(!Z?C7,U8O?]
M>O\`URB_]`6ME32>IUQP\4]=2:*[GN[IGGE9SY4N,]!\C=JHU8LO]>W_`%RD
M_P#0&JO6BW-DDG9%BY_U%I_UR/\`Z&U%A_R$;7_KJG\Q1<_ZBT_ZY'_T-J+#
M_D(VO_75/YBCH+[+*]6'_P"0=#_UUD_DE5ZL/_R#H?\`KK)_)*!OH5ZL7_\`
MR$;K_KJ_\S5>K%__`,A&Z_ZZO_,T=1]03_D'3?\`76/^3U7JPG_(.F_ZZQ_R
M>J]"!=2Q>_Z]?^N47_H"T6W^HN_^N0_]#6B]_P!>O_7*+_T!:+;_`%%W_P!<
MA_Z&M'0G[**]6+G_`%%I_P!<C_Z&U5ZL7/\`J+3_`*Y'_P!#:AC>Z"R_U[?]
M<I?_`$!JKU8LO]>W_7*7_P!`:J]'4.I8?_D'0_\`763^257JP_\`R#H?^NLG
M\DJO0@CL;'BS_D<M<_["$_\`Z,:L>MCQ9_R.6N?]A"?_`-&-6/5/<BA_"CZ(
M*L7/^HM/^N1_]#:J]6+G_46G_7(_^AM4LM[H+#_D(VO_`%U3^8JO5BP_Y"-K
M_P!=4_F*KT=0ZEA_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2J]"".Q8O_\`D(W7
M_75_YFA/^0=-_P!=8_Y/1?\`_(1NO^NK_P`S0G_(.F_ZZQ_R>CH+[**]6+W_
M`%Z_]<HO_0%JO5B]_P!>O_7*+_T!:.I74+;_`%%W_P!<A_Z&M5ZL6W^HN_\`
MKD/_`$-:KT(%NRQ<_P"HM/\`KD?_`$-J++_7M_URE_\`0&HN?]1:?]<C_P"A
MM19?Z]O^N4O_`*`U'0G[+*]6'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)_)*!OH%A
M_P`A&U_ZZI_,57JQ8?\`(1M?^NJ?S%5Z.H=2PG_(.F_ZZQ_R>J]6$_Y!TW_7
M6/\`D]5Z$-=2Q?\`_(1NO^NK_P`S1;?ZB[_ZY#_T-:+_`/Y"-U_UU?\`F:+;
M_47?_7(?^AK1T)^RBO5B]_UZ_P#7*+_T!:KU8O?]>O\`URB_]`6CJ5U"R_U[
M?]<I?_0&JO5BR_U[?]<I?_0&JO1U%U+%S_J+3_KD?_0VHL/^0C:_]=4_F*+G
M_46G_7(_^AM18?\`(1M?^NJ?S%'07V65ZL/_`,@Z'_KK)_)*KU8?_D'0_P#7
M63^24#?0KU8O_P#D(W7_`%U?^9JO5B__`.0C=?\`75_YFCJ/J"?\@Z;_`*ZQ
M_P`GJO5A/^0=-_UUC_D]5Z$"ZEB]_P!>O_7*+_T!:+;_`%%W_P!<A_Z&M%[_
M`*]?^N47_H"T6W^HN_\`KD/_`$-:.A/V45ZL7/\`J+3_`*Y'_P!#:J]6+G_4
M6G_7(_\`H;4,;W067^O;_KE+_P"@-5>K%E_KV_ZY2_\`H#57HZAU+#_\@Z'_
M`*ZR?R2BP_Y"-K_UU3^8H?\`Y!T/_763^246'_(1M?\`KJG\Q1T%]EE>K"?\
M@Z;_`*ZQ_P`GJO5A/^0=-_UUC_D]#&]BO5B__P"0C=?]=7_F:KU8O_\`D(W7
M_75_YFCJ/J%M_J+O_KD/_0UJO5BV_P!1=_\`7(?^AK5>A`NI8O?]>O\`URB_
M]`6BR_U[?]<I?_0&HO?]>O\`URB_]`6BR_U[?]<I?_0&HZ$_9*]6+G_46G_7
M(_\`H;57JQ<_ZBT_ZY'_`-#:@;Z!8?\`(1M?^NJ?S%5ZL6'_`"$;7_KJG\Q4
M"J68*H))Z`4=0ZD[_P#(.A_ZZR?R2J];,&BWES90KL$6)'8^9QP0O;\#6A;^
M&;=,&>1Y3Z#Y1_C4\Z1FZT(HY^^!.I7(')\YOYFK=KI5Y/92(L+*6D0@O\O`
M#9//U%=9';01.SQQ(KL<LP7DGZTZ6:.%"\LBHH[L<"LW4Z(P>(;5DCGX/"Y.
M#<7`'JL8_J?\*U4T>Q5@S0B1@JKESG@``<=.U5[CQ#8PY"%Y3_L#C\S5"^\0
MW*2!((T0%%;)Y/*@_P!:7OR%:K-G1JBHNU%"CT`Q4$U_:6Y(EN(U([;LG\JY
M07]W<PW?G3NV(A@9P/OKV%9U4J7<J.'O\3.NN?$%K`J%$DEWKN4@8&,D=_<&
MKUA<R7=HL\D8CW\JN<\5RMO:&]FL(1]TQ$L?0;VS79*H10JC``P`.U1-):(S
MJQC%66XM%%%08A1110`444UW6-&=R`JC))["@#.UN_\`L5D50XEE^5<=AW-<
MK;_ZB[_ZY#_T-:FU>Y>YU.8N>$8HH]`#BH;;_47?_7(?^AK71&-HG?3ARP*]
M6+W_`%Z_]<HO_0%JO5B]_P!>O_7*+_T!:OJ;=0LO]>W_`%RE_P#0&JO5BR_U
M[?\`7*7_`-`:J]'474L7/^HM/^N1_P#0VHL/^0C:_P#75/YBBY_U%I_UR/\`
MZ&U%A_R$;7_KJG\Q1T%]EE>K#_\`(.A_ZZR?R2J]6'_Y!T/_`%UD_DE`WT*]
M6+__`)"-U_UU?^9JO5B__P"0C=?]=7_F:.H^H)_R#IO^NL?\GJO5A/\`D'3?
M]=8_Y/5>A`NI8O?]>O\`URB_]`6BV_U%W_UR'_H:T7O^O7_KE%_Z`M%M_J+O
M_KD/_0UHZ$_917JQ<_ZBT_ZY'_T-JKU8N?\`46G_`%R/_H;4,;W067^O;_KE
M+_Z`U5ZL67^O;_KE+_Z`U5Z.H=2P_P#R#H?^NLG\DJO5A_\`D'0_]=9/Y)5>
MA!'8V/%G_(Y:Y_V$)_\`T8U8];'BS_D<M<_["$__`*,:L>J>Y%#^%'T058N?
M]1:?]<C_`.AM5>K%S_J+3_KD?_0VJ66]T%A_R$;7_KJG\Q5>K%A_R$;7_KJG
M\Q5>CJ'4L/\`\@Z'_KK)_)*KU8?_`)!T/_763^257H01V+%__P`A&Z_ZZO\`
MS-"?\@Z;_KK'_)Z+_P#Y"-U_UU?^9H3_`)!TW_76/^3T=!?917JQ>_Z]?^N4
M7_H"U7JQ>_Z]?^N47_H"T=2NH6W^HN_^N0_]#6J]6+;_`%%W_P!<A_Z&M5Z$
M"W98N?\`46G_`%R/_H;467^O;_KE+_Z`U%S_`*BT_P"N1_\`0VHLO]>W_7*7
M_P!`:CH3]EE>K#_\@Z'_`*ZR?R2J]6'_`.0=#_UUD_DE`WT"P_Y"-K_UU3^8
MJO5BP_Y"-K_UU3^8JO1U#J6$_P"0=-_UUC_D]5ZL)_R#IO\`KK'_`">J]"&N
MI8O_`/D(W7_75_YFBV_U%W_UR'_H:T7_`/R$;K_KJ_\`,T6W^HN_^N0_]#6C
MH3]E%>K%[_KU_P"N47_H"U7JQ>_Z]?\`KE%_Z`M'4KJ%E_KV_P"N4O\`Z`U5
MZL67^O;_`*Y2_P#H#57HZBZEBY_U%I_UR/\`Z&U%A_R$;7_KJG\Q1<_ZBT_Z
MY'_T-J+#_D(VO_75/YBCH+[+*]6'_P"0=#_UUD_DE5ZL/_R#H?\`KK)_)*!O
MH5ZL7_\`R$;K_KJ_\S5>K%__`,A&Z_ZZO_,T=1]03_D'3?\`76/^3U7JPG_(
M.F_ZZQ_R>J]"!=2Q>_Z]?^N47_H"T6W^HN_^N0_]#6B]_P!>O_7*+_T!:+;_
M`%%W_P!<A_Z&M'0G[**]6+G_`%%I_P!<C_Z&U5ZL7/\`J+3_`*Y'_P!#:AC>
MZ"R_U[?]<I?_`$!JKU8LO]>W_7*7_P!`:J]'4.I8?_D'0_\`763^246'_(1M
M?^NJ?S%#_P#(.A_ZZR?R2BP_Y"-K_P!=4_F*.@OLLKU83_D'3?\`76/^3U7J
MPG_(.F_ZZQ_R>AC>Q7JQ?_\`(1NO^NK_`,S5>K%__P`A&Z_ZZO\`S-'4?4+;
M_47?_7(?^AK5>K%M_J+O_KD/_0UJO0@74L7O^O7_`*Y1?^@+19?Z]O\`KE+_
M`.@-1>_Z]?\`KE'_`.@+5[2M)NIY/,*&.(HZ[F]U(X'XTFTEJ0Y)0U,FM)=.
MNKV&T\F(E1$06/`'SMWK?L]!L[7#,OG2>K]/RK4'`P.E9RJ]C">(_E,*P\.K
M!+'-/,6=&#!4X&1[]ZUK>SM[5<00HGN!R?QIDNHVL,R0M*#*[!0J\G)]?2N?
MN_$EQ+E;=1"OJ>6_PJ;2D9I5*C.GEFB@3?+(J+ZL<5DW/B.TBR(5:9O4<#\S
M7/7$LD]C"\KL[&63ECGLE5*N-)=36&'6[-G4=;O?M,T,;B)$<J-@Y.#CK5#S
M'EL)VD=G;S8^6.3T>FW_`/R$;K_KJ_\`,T)_R#IO^NL?\GJTDD;**459%>K%
M[_KU_P"N47_H"U7JQ>_Z]?\`KE%_Z`M/J7U"V_U%W_UR'_H:U7JQ;?ZB[_ZY
M#_T-:?IMF;Z]CA_AZN?11UHO:[%>UVSIM"MA'80S,I$C)MY_N[F(_G6I2!0J
MA5&`!@"EKE;N[GF2ES.X4444A!1110`5S_B/4-J"RC/+<R$=AV%;%]=I96CS
MOVX4>I["N%EE>>9Y9#EV.2:TIQN[G10I\SYF2W__`"$;K_KJ_P#,T6W^HN_^
MN0_]#6B__P"0C=?]=7_F:+;_`%%W_P!<A_Z&M;]#K^RBO5B]_P!>O_7*+_T!
M:KU8O?\`7K_URB_]`6CJ5U"R_P!>W_7*7_T!JKU8LO\`7M_URE_]`:J]'474
ML7/^HM/^N1_]#:BP_P"0C:_]=4_F*+G_`%%I_P!<C_Z&U%A_R$;7_KJG\Q1T
M%]EE>K#_`/(.A_ZZR?R2J]6'_P"0=#_UUD_DE`WT*]6+_P#Y"-U_UU?^9JO5
MB_\`^0C=?]=7_F:.H^H)_P`@Z;_KK'_)ZKU83_D'3?\`76/^3U7H0+J6+W_7
MK_URB_\`0%HMO]1=_P#7(?\`H:T7O^O7_KE%_P"@+1;?ZB[_`.N0_P#0UHZ$
M_917JQ<_ZBT_ZY'_`-#:J]6+G_46G_7(_P#H;4,;W067^O;_`*Y2_P#H#57J
MQ9?Z]O\`KE+_`.@-5>CJ'4L/_P`@Z'_KK)_)*KU8?_D'0_\`763^257H01V-
MCQ9_R.6N?]A"?_T8U8];'BS_`)'+7/\`L(3_`/HQJQZI[D4/X4?1!5BY_P!1
M:?\`7(_^AM5>K%S_`*BT_P"N1_\`0VJ66]T%A_R$;7_KJG\Q5>K%A_R$;7_K
MJG\Q5>CJ'4L/_P`@Z'_KK)_)*KU8?_D'0_\`763^257H01V+%_\`\A&Z_P"N
MK_S-"?\`(.F_ZZQ_R>B__P"0C=?]=7_F:$_Y!TW_`%UC_D]'07V45ZL7O^O7
M_KE%_P"@+5>K%[_KU_ZY1?\`H"T=2NH6W^HN_P#KD/\`T-:KU8MO]1=_]<A_
MZ&M5Z$"W98N?]1:?]<C_`.AM19?Z]O\`KE+_`.@-1<_ZBT_ZY'_T-J++_7M_
MURE_]`:CH3]EE>K#_P#(.A_ZZR?R2J]6'_Y!T/\`UUD_DE`WT"P_Y"-K_P!=
M4_F*KU8L/^0C:_\`75/YBJ]'4.I83_D'3?\`76/^3U7JPG_(.F_ZZQ_R>J]"
M&NI8O_\`D(W7_75_YFBV_P!1=_\`7(?^AK1?_P#(1NO^NK_S-%M_J+O_`*Y#
M_P!#6CH3]E%>K%[_`*]?^N47_H"U7JQ>_P"O7_KE%_Z`M'4KJ%E_KV_ZY2_^
M@-5>K%E_KV_ZY2_^@-5>CJ+J6+G_`%%I_P!<C_Z&U%A_R$;7_KJG\Q1<_P"H
MM/\`KD?_`$-J+#_D(VO_`%U3^8HZ"^RRO5A_^0=#_P!=9/Y)5>K#_P#(.A_Z
MZR?R2@;Z%>K%_P#\A&Z_ZZO_`#-5ZL7_`/R$;K_KJ_\`,T=1]03_`)!TW_76
M/^3U7JPG_(.F_P"NL?\`)ZKT(%U+%[_KU_ZY1?\`H"T6W^HN_P#KD/\`T-:+
MW_7K_P!<HO\`T!:+;_47?_7(?^AK1T)^RBO5BY_U%I_UR/\`Z&U5ZL7/^HM/
M^N1_]#:AC>Z"R_U[?]<I?_0&JO5BR_U[?]<I?_0&JO1U#J6'_P"0=#_UUD_D
ME%A_R$;7_KJG\Q0__(.A_P"NLG\DHL/^0C:_]=4_F*.@OLLKU83_`)!TW_76
M/^3U7JPG_(.F_P"NL?\`)Z&-[%>K%_\`\A&Z_P"NK_S-5ZM7D;RZI<(BEF:9
M@`!R>31U![C;;_47?_7(?^AK4MCI5S?D&-=L?>1NG_UZV]*T+R49[O#&1<&+
ML!D'G\A6XH"J%4``=`.U92J6V.:=>UU$I6^DVT#K(R"24*J[F[8`'`[=*O5!
M=7<%G%YD\@4=AW/T%<_+KLUY,\<0\J'RI#_M'"$]>U9I.1C&$ZFIKWVL6ECE
M6;S)1_`G)'U]*PM2UBZN(X=CF))$+%4/^TPZ_A6/UY-6+C_46G_7(_\`H;5L
MH)'5&C&-@L/^0C:_]=4_F*KU8L/^0C:_]=4_F*KU?4U6Y8?_`)!T/_763^25
M7JP__(.A_P"NLG\DJO0@CL6+_P#Y"-U_UU?^9H3_`)!TW_76/^3T7_\`R$;K
M_KJ_\S0G_(.F_P"NL?\`)Z.@OLHKU8O?]>O_`%RB_P#0%JO5B]_UZ_\`7*+_
M`-`6CJ5U"V_U%W_UR'_H:UTWA^Q^S6?G./WDW/T7M_C6+H=J+NZEB;[AC&[\
M'4X_2NQ`P``,`5E4ET.3$3^R%%%%8G*%%%%`!116-K^H_9H/LT3?O9!R1_"O
M_P!>FE=V*A%R=D9^LZ@+V*94P8HID53ZG#Y-8=6$_P"0=-_UUC_D]5ZZ8JVA
MZ,(J*LBQ?_\`(1NO^NK_`,S1;?ZB[_ZY#_T-:+__`)"-U_UU?^9HMO\`47?_
M`%R'_H:T^@?917JQ>_Z]?^N47_H"U7JQ>_Z]?^N47_H"T=2NH67^O;_KE+_Z
M`U5ZL67^O;_KE+_Z`U5Z.HNI8N?]1:?]<C_Z&U%A_P`A&U_ZZI_,47/^HM/^
MN1_]#:BP_P"0C:_]=4_F*.@OLLKU8?\`Y!T/_763^257JP__`"#H?^NLG\DH
M&^A7JQ?_`/(1NO\`KJ_\S5>K%_\`\A&Z_P"NK_S-'4?4$_Y!TW_76/\`D]5Z
ML)_R#IO^NL?\GJO0@74L7O\`KU_ZY1?^@+1;?ZB[_P"N0_\`0UHO?]>O_7*+
M_P!`6BV_U%W_`-<A_P"AK1T)^RBO5BY_U%I_UR/_`*&U5ZL7/^HM/^N1_P#0
MVH8WN@LO]>W_`%RE_P#0&JO5BR_U[?\`7*7_`-`:J]'4.I8?_D'0_P#763^2
M57JP_P#R#H?^NLG\DJO0@CL;'BS_`)'+7/\`L(3_`/HQJQZV/%G_`".6N?\`
M80G_`/1C5CU3W(H?PH^B"K%S_J+3_KD?_0VJO5BY_P!1:?\`7(_^AM4LM[H+
M#_D(VO\`UU3^8JO5BP_Y"-K_`-=4_F*KT=0ZEA_^0=#_`-=9/Y)5>K#_`/(.
MA_ZZR?R2J]"".Q8O_P#D(W7_`%U?^9H3_D'3?]=8_P"3T7__`"$;K_KJ_P#,
MT)_R#IO^NL?\GHZ"^RBO5B]_UZ_]<HO_`$!:KU8O?]>O_7*+_P!`6CJ5U"V_
MU%W_`-<A_P"AK5>K%M_J+O\`ZY#_`-#6J]"!;LL7/^HM/^N1_P#0VHLO]>W_
M`%RE_P#0&HN?]1:?]<C_`.AM19?Z]O\`KE+_`.@-1T)^RRO5A_\`D'0_]=9/
MY)5>K#_\@Z'_`*ZR?R2@;Z!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+"?
M\@Z;_KK'_)ZKU83_`)!TW_76/^3U7H0UU+%__P`A&Z_ZZO\`S-%M_J+O_KD/
M_0UHO_\`D(W7_75_YFBV_P!1=_\`7(?^AK1T)^RBO5B]_P!>O_7*+_T!:KU8
MO?\`7K_URB_]`6CJ5U"R_P!>W_7*7_T!JKU8LO\`7M_URE_]`:J]'474L7/^
MHM/^N1_]#:BP_P"0C:_]=4_F*+G_`%%I_P!<C_Z&U%A_R$;7_KJG\Q1T%]EE
M>K#_`/(.A_ZZR?R2J]6'_P"0=#_UUD_DE`WT*]6+_P#Y"-U_UU?^9JO5B_\`
M^0C=?]=7_F:.H^H)_P`@Z;_KK'_)ZKU83_D'3?\`76/^3U7H0+J6+W_7K_UR
MB_\`0%HMO]1=_P#7(?\`H:T7O^O7_KE%_P"@+1;?ZB[_`.N0_P#0UHZ$_917
MJQ<_ZBT_ZY'_`-#:J]6+G_46G_7(_P#H;4,;W067^O;_`*Y2_P#H#57JQ9?Z
M]O\`KE+_`.@-5>CJ'4L/_P`@Z'_KK)_)*+#_`)"-K_UU3^8H?_D'0_\`763^
M246'_(1M?^NJ?S%'07V65ZL)_P`@Z;_KK'_)ZKU>LK66\MI(8AEC-'SV`P_)
MH>B')V5R"UM)KR<10KECW[`>IKM+;3X+6:695S+(Q9G/7DYP/:BPL8K"W$<8
M!;^)\<L:M5SSG?8X:M5S>FP5EZIK,5@#&F))S_#V7ZTW5-46&*XAMW_?HFXD
M?P_,!^?-<B6+,68DDG))[U4(7U95&CS:R+>I323W8>1B28XS[#*`G'YU'9?Z
M]O\`KE+_`.@-1>_Z]?\`KE%_Z`M%E_KV_P"N4O\`Z`U:]#KM:!7JQ<_ZBT_Z
MY'_T-JKU8N?]1:?]<C_Z&U,;Z!8?\A&U_P"NJ?S%5ZL6'_(1M?\`KJG\Q5>C
MJ'4L/_R#H?\`KK)_)*KU8?\`Y!T/_763^257H01V+%__`,A&Z_ZZO_,T)_R#
MIO\`KK'_`">B_P#^0C=?]=7_`)FA/^0=-_UUC_D]'07V45ZL7O\`KU_ZY1?^
M@+5>MRPL/MFJ([C]U%%$S>YV+@4I.VH3DHZLUM$L/L5B&<8EE^9O;T%:=%%<
MS=W<\V4G)W84444A!112$A5+$@`#))H`9-,D"J9&QN8(/<DX%<%<3R7,[S2G
M+L<FM:YU(W^M6P0GR(YE"#UY'-8M=%.-CNH4^7<L)_R#IO\`KK'_`">J]6$_
MY!TW_76/^3U7JT;KJ6+_`/Y"-U_UU?\`F:+;_47?_7(?^AK1?_\`(1NO^NK_
M`,S1;?ZB[_ZY#_T-:.A/V45ZL7O^O7_KE%_Z`M5ZL7O^O7_KE%_Z`M'4KJ%E
M_KV_ZY2_^@-5>K%E_KV_ZY2_^@-5>CJ+J6+G_46G_7(_^AM18?\`(1M?^NJ?
MS%%S_J+3_KD?_0VHL/\`D(VO_75/YBCH+[+*]6'_`.0=#_UUD_DE5ZL/_P`@
MZ'_KK)_)*!OH5ZL7_P#R$;K_`*ZO_,U7JQ?_`/(1NO\`KJ_\S1U'U!/^0=-_
MUUC_`)/5>K"?\@Z;_KK'_)ZKT(%U+%[_`*]?^N47_H"T6W^HN_\`KD/_`$-:
M+W_7K_URB_\`0%HMO]1=_P#7(?\`H:T="?LHKU8N?]1:?]<C_P"AM5>K%S_J
M+3_KD?\`T-J&-[H++_7M_P!<I?\`T!JKU8LO]>W_`%RE_P#0&JO1U#J6'_Y!
MT/\`UUD_DE5ZL/\`\@Z'_KK)_)*KT(([&QXL_P"1RUS_`+"$_P#Z,:L>MCQ9
M_P`CEKG_`&$)_P#T8U8]4]R*'\*/H@JQ<_ZBT_ZY'_T-JKU8N?\`46G_`%R/
M_H;5++>Z"P_Y"-K_`-=4_F*KU8L/^0C:_P#75/YBJ]'4.I8?_D'0_P#763^2
M57JP_P#R#H?^NLG\DJO0@CL6+_\`Y"-U_P!=7_F:$_Y!TW_76/\`D]%__P`A
M&Z_ZZO\`S-"?\@Z;_KK'_)Z.@OLHKU8O?]>O_7*+_P!`6J]6+W_7K_URB_\`
M0%HZE=0MO]1=_P#7(?\`H:U7JQ;?ZB[_`.N0_P#0UJO0@6[+%S_J+3_KD?\`
MT-J++_7M_P!<I?\`T!J+G_46G_7(_P#H;467^O;_`*Y2_P#H#4="?LLKU8?_
M`)!T/_763^257JP__(.A_P"NLG\DH&^@6'_(1M?^NJ?S%5ZL6'_(1M?^NJ?S
M%5Z.H=2PG_(.F_ZZQ_R>J]6$_P"0=-_UUC_D]5Z$-=2Q?_\`(1NO^NK_`,S1
M;?ZB[_ZY#_T-:+__`)"-U_UU?^9HMO\`47?_`%R'_H:T="?LHKU8O?\`7K_U
MRB_]`6J]6+W_`%Z_]<HO_0%HZE=0LO\`7M_URE_]`:J]6++_`%[?]<I?_0&J
MO1U%U+%S_J+3_KD?_0VHL/\`D(VO_75/YBBY_P!1:?\`7(_^AM18?\A&U_ZZ
MI_,4=!?997JP_P#R#H?^NLG\DJO5A_\`D'0_]=9/Y)0-]"O5B_\`^0C=?]=7
M_F:KU8O_`/D(W7_75_YFCJ/J"?\`(.F_ZZQ_R>J]6$_Y!TW_`%UC_D]5Z$"Z
MEB]_UZ_]<HO_`$!:+;_47?\`UR'_`*&M%[_KU_ZY1?\`H"T6W^HN_P#KD/\`
MT-:.A/V45ZL7/^HM/^N1_P#0VJO5BY_U%I_UR/\`Z&U#&]T%E_KV_P"N4O\`
MZ`U5ZL67^O;_`*Y2_P#H#57HZAU+#_\`(.A_ZZR?R2BP_P"0C:_]=4_F*'_Y
M!T/_`%UD_DE%A_R$;7_KJG\Q1T%]ED`!8@`$D\`#O7::1IPT^UPW,S\N?Z?A
M6+X<L?.N6NG'R1<+[M_]:NJK&I+H<V(J7]U!67K.I_88-D9_?R#Y?]D>M:$\
MR6\#S2'"(,FN)U.1Y=3N6<Y(D91[`'`J:<;LSH4^:6HV`EH;PDDDQ`DG_?6J
MU6+;_47?_7(?^AK5>NA'<NI8O?\`7K_URB_]`6BR_P!>W_7*7_T!J+W_`%Z_
M]<HO_0%HLO\`7M_URE_]`:CH+[)7JQ<_ZBT_ZY'_`-#:J]6+G_46G_7(_P#H
M;4#?0+#_`)"-K_UU3^8JO5BP_P"0C:_]=4_F*KT=0ZEA_P#D'0_]=9/Y)5>K
M#_\`(.A_ZZR?R2J]"".Q8O\`_D(W7_75_P"9H3_D'3?]=8_Y/1?_`/(1NO\`
MKJ_\S0G_`"#IO^NL?\GHZ"^RB!59W"J"68X`'<UWEE;BVM8TP-^Q0Y'<A0/Z
M5@^'-/\`,D-Y(ORIQ'[GUKIJQJRN['+B)W?*@HHHK(Y@HHHH`*P/$-^1`MO"
M_#,RR$>V#C]:M:UJHLH?*B/[]QQ_LCUKF)"3I\))R3-)S^"5K3AU9TT:>JDQ
M+#_D(VO_`%U3^8JO5BP_Y"-K_P!=4_F*KUMU.OJ6$_Y!TW_76/\`D]5ZL)_R
M#IO^NL?\GJO0AKJ6+_\`Y"-U_P!=7_F:+;_47?\`UR'_`*&M%_\`\A&Z_P"N
MK_S-%M_J+O\`ZY#_`-#6CH3]E%>K%[_KU_ZY1?\`H"U7JQ>_Z]?^N47_`*`M
M'4KJ%E_KV_ZY2_\`H#57JQ9?Z]O^N4O_`*`U5Z.HNI8N?]1:?]<C_P"AM18?
M\A&U_P"NJ?S%%S_J+3_KD?\`T-J+#_D(VO\`UU3^8HZ"^RRO5A_^0=#_`-=9
M/Y)5>K#_`/(.A_ZZR?R2@;Z%>K%__P`A&Z_ZZO\`S-5ZL7__`"$;K_KJ_P#,
MT=1]03_D'3?]=8_Y/5>K"?\`(.F_ZZQ_R>J]"!=2Q>_Z]?\`KE%_Z`M%M_J+
MO_KD/_0UHO?]>O\`URB_]`6BV_U%W_UR'_H:T="?LHKU8N?]1:?]<C_Z&U5Z
ML7/^HM/^N1_]#:AC>Z"R_P!>W_7*7_T!JKU8LO\`7M_URE_]`:J]'4.I8?\`
MY!T/_763^257JP__`"#H?^NLG\DJO0@CL;'BS_D<M<_["$__`*,:L>MCQ9_R
M.6N?]A"?_P!&-6/5/<BA_"CZ(*L7/^HM/^N1_P#0VJO5BY_U%I_UR/\`Z&U2
MRWN@L/\`D(VO_75/YBJ]6+#_`)"-K_UU3^8JO1U#J6'_`.0=#_UUD_DE5ZL/
M_P`@Z'_KK)_)*KT(([%B_P#^0C=?]=7_`)FA/^0=-_UUC_D]%_\`\A&Z_P"N
MK_S-"?\`(.F_ZZQ_R>CH+[**]6+W_7K_`-<HO_0%JO5B]_UZ_P#7*+_T!:.I
M74+;_47?_7(?^AK5>K%M_J+O_KD/_0UJO0@6[+%S_J+3_KD?_0VHLO\`7M_U
MRE_]`:BY_P!1:?\`7(_^AM19?Z]O^N4O_H#4="?LLKU8?_D'0_\`763^257J
MP_\`R#H?^NLG\DH&^@6'_(1M?^NJ?S%5ZL6'_(1M?^NJ?S%5Z.H=2PG_`"#I
MO^NL?\GJO5A/^0=-_P!=8_Y/5>A#74L7_P#R$;K_`*ZO_,T6W^HN_P#KD/\`
MT-:+_P#Y"-U_UU?^9HMO]1=_]<A_Z&M'0G[**]6+W_7K_P!<HO\`T!:KU8O?
M]>O_`%RB_P#0%HZE=0LO]>W_`%RE_P#0&JO5BR_U[?\`7*7_`-`:J]'474L7
M/^HM/^N1_P#0VHL/^0C:_P#75/YBBY_U%I_UR/\`Z&U%A_R$;7_KJG\Q1T%]
MEE>K#_\`(.A_ZZR?R2J]6'_Y!T/_`%UD_DE`WT*]6+__`)"-U_UU?^9JO5B_
M_P"0C=?]=7_F:.H^H)_R#IO^NL?\GJO5A/\`D'3?]=8_Y/5>A`NI8O?]>O\`
MURB_]`6BV_U%W_UR'_H:T7O^O7_KE%_Z`M%M_J+O_KD/_0UHZ$_917JQ<_ZB
MT_ZY'_T-JKU8N?\`46G_`%R/_H;4,;W067^O;_KE+_Z`U5ZL67^O;_KE+_Z`
MU5Z.H=2P_P#R#H?^NLG\DHL/^0C:_P#75/YBA_\`D'0_]=9/Y)3],0R:I;*/
M^>BG\CG^E+H)_"SK]-MOLFGPQ8PVW+?4]:MT45RMGFMW=SG_`!-=E8XK53][
MYW^G;_/M6%?_`/(1NO\`KJ_\S4^LS^?JLYSD*VP?AQ_/-07_`/R$;K_KJ_\`
M,UTP5DCOI1Y4@MO]1=_]<A_Z&M5ZL6W^HN_^N0_]#6J]4C5=2Q>_Z]?^N47_
M`*`M%E_KV_ZY2_\`H#47O^O7_KE%_P"@+19?Z]O^N4O_`*`U'0G[)7JQ<_ZB
MT_ZY'_T-JKU8N?\`46G_`%R/_H;4#?0+#_D(VO\`UU3^8JO5BP_Y"-K_`-=4
M_F*KT=0ZEA_^0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2J]"".Q8O_P#D(W7_`%U?
M^9JQI]H][`\"=YH\GT&'R:KW_.HW('_/9_YFNJT33S8VFZ08EEP6'IZ"HE*T
M3*K/E@7X84MX4BC&$08`J2BBN<X-PHHHH`*JWMZEI&1D&4HS(OKA2?RXINHZ
MC%IT&]_F<_<3N3_A7*1W,MW?233-EVBD^@&QN!5PA?4VITG+5[%265YY6ED8
ML['))J5_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2N@[GT"P_P"0C:_]=4_F*KU8
ML/\`D(VO_75/YBJ]'4.I83_D'3?]=8_Y/5>K"?\`(.F_ZZQ_R>J]"&NI8O\`
M_D(W7_75_P"9HMO]1=_]<A_Z&M%__P`A&Z_ZZO\`S-%M_J+O_KD/_0UHZ$_9
M17JQ>_Z]?^N47_H"U7JQ>_Z]?^N47_H"T=2NH67^O;_KE+_Z`U5ZL67^O;_K
ME+_Z`U5Z.HNI8N?]1:?]<C_Z&U%A_P`A&U_ZZI_,47/^HM/^N1_]#:BP_P"0
MC:_]=4_F*.@OLLKU8?\`Y!T/_763^257JP__`"#H?^NLG\DH&^A7JQ?_`/(1
MNO\`KJ_\S5>K%_\`\A&Z_P"NK_S-'4?4$_Y!TW_76/\`D]5ZL)_R#IO^NL?\
MGJO0@74L7O\`KU_ZY1?^@+1;?ZB[_P"N0_\`0UHO?]>O_7*+_P!`6BV_U%W_
M`-<A_P"AK1T)^RBO5BY_U%I_UR/_`*&U5ZL7/^HM/^N1_P#0VH8WN@LO]>W_
M`%RE_P#0&JO5BR_U[?\`7*7_`-`:J]'4.I8?_D'0_P#763^257JP_P#R#H?^
MNLG\DJO0@CL;'BS_`)'+7/\`L(3_`/HQJQZV/%G_`".6N?\`80G_`/1C5CU3
MW(H?PH^B"K%S_J+3_KD?_0VJO5BY_P!1:?\`7(_^AM4LM[H+#_D(VO\`UU3^
M8JO5BP_Y"-K_`-=4_F*KT=0ZEA_^0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2J]""
M.Q8O_P#D(W7_`%U?^9H3_D'3?]=8_P"3T7__`"$;K_KJ_P#,T)_R#IO^NL?\
MGHZ"^RBO5B]_UZ_]<HO_`$!:KU8O?]>O_7*+_P!`6CJ5U"V_U%W_`-<A_P"A
MK5>K%M_J+O\`ZY#_`-#6J]"!;LL7/^HM/^N1_P#0VHLO]>W_`%RE_P#0&HN?
M]1:?]<C_`.AM19?Z]O\`KE+_`.@-1T)^RRO5A_\`D'0_]=9/Y)5>K#_\@Z'_
M`*ZR?R2@;Z!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+"?\@Z;_KK'_)ZK
MU83_`)!TW_76/^3U7H0UU+%__P`A&Z_ZZO\`S-%M_J+O_KD/_0UHO_\`D(W7
M_75_YFBV_P!1=_\`7(?^AK1T)^RBO5B]_P!>O_7*+_T!:KU8O?\`7K_URB_]
M`6CJ5U"R_P!>W_7*7_T!JKU8LO\`7M_URE_]`:J]'474L7/^HM/^N1_]#:BP
M_P"0C:_]=4_F*+G_`%%I_P!<C_Z&U%A_R$;7_KJG\Q1T%]EE>K#_`/(.A_ZZ
MR?R2J]6'_P"0=#_UUD_DE`WT*]6+_P#Y"-U_UU?^9JO5B_\`^0C=?]=7_F:.
MH^H)_P`@Z;_KK'_)ZKU83_D'3?\`76/^3U7H0+J6+W_7K_URB_\`0%HMO]1=
M_P#7(?\`H:T7O^O7_KE%_P"@+1;?ZB[_`.N0_P#0UHZ$_917JQ<_ZBT_ZY'_
M`-#:J]6+G_46G_7(_P#H;4,;W067^O;_`*Y2_P#H#57JQ9?Z]O\`KE+_`.@-
M5>CJ'4L/_P`@Z'_KK)_)*N>'TW:O&?[JL?TQ_6J;_P#(.A_ZZR?R2KWAP@:J
M/=&J9?"R)_`SKZ***YCSCSV5_-F=_P"\Q-2W_P#R$;K_`*ZO_,U`P*L5(P0<
M&I[_`/Y"-U_UU?\`F:ZSU%N@MO\`47?_`%R'_H:U7JQ;?ZB[_P"N0_\`0UJO
M0AKJ6+W_`%Z_]<HO_0%HLO\`7M_URE_]`:B]_P!>O_7*+_T!:++_`%[?]<I?
M_0&HZ$_9*]6+G_46G_7(_P#H;57JQ<_ZBT_ZY'_T-J!OH%A_R$;7_KJG\Q5>
MK%A_R$;7_KJG\Q5>CJ'4L/\`\@Z'_KK)_)*KU8?_`)!T/_763^258TK37U"X
MP01"IR[?T'O2O97%S*,;LU=.TSSM5N;R9?W:S/L![G<>?PKH*``.E%<TG<\Z
M<W)W84444B0JCJ6IQ:=%EOFE;[J#^9]J9J.J1VL4RQ%7N(TW;>PY`Y_.N.FF
MDGE:25R[MU)K2$+ZLWHT>;5[%K4+B2Z^S32G+M$23_P-JBLO]>W_`%RE_P#0
M&HN/]1:?]<C_`.AM19?Z]O\`KE+_`.@-6_0[$K1*]6'_`.0=#_UUD_DE5ZL/
M_P`@Z'_KK)_)*!OH%A_R$;7_`*ZI_,57JQ8?\A&U_P"NJ?S%5Z.H=2PG_(.F
M_P"NL?\`)ZKU83_D'3?]=8_Y/5>A#74L7_\`R$;K_KJ_\S1;?ZB[_P"N0_\`
M0UHO_P#D(W7_`%U?^9HMO]1=_P#7(?\`H:T="?LHKU8O?]>O_7*+_P!`6J]6
M+W_7K_URB_\`0%HZE=0LO]>W_7*7_P!`:J]6++_7M_URE_\`0&JO1U%U+%S_
M`*BT_P"N1_\`0VHL/^0C:_\`75/YBBY_U%I_UR/_`*&U%A_R$;7_`*ZI_,4=
M!?997JP__(.A_P"NLG\DJO5A_P#D'0_]=9/Y)0-]"O5B_P#^0C=?]=7_`)FJ
M]6+_`/Y"-U_UU?\`F:.H^H)_R#IO^NL?\GJO5A/^0=-_UUC_`)/5>A`NI8O?
M]>O_`%RB_P#0%HMO]1=_]<A_Z&M%[_KU_P"N47_H"T6W^HN_^N0_]#6CH3]E
M%>K%S_J+3_KD?_0VJO5BY_U%I_UR/_H;4,;W067^O;_KE+_Z`U5ZL67^O;_K
ME+_Z`U5Z.H=2P_\`R#H?^NLG\DJO5A_^0=#_`-=9/Y)5>A!'8V/%G_(Y:Y_V
M$)__`$8U8];'BS_D<M<_["$__HQJQZI[D4/X4?1!5BY_U%I_UR/_`*&U5ZL7
M/^HM/^N1_P#0VJ66]T%A_P`A&U_ZZI_,57JQ8?\`(1M?^NJ?S%5Z.H=2P_\`
MR#H?^NLG\DJO5A_^0=#_`-=9/Y)5>A!'8L7_`/R$;K_KJ_\`,T)_R#IO^NL?
M\GHO_P#D(W7_`%U?^9H3_D'3?]=8_P"3T=!?917JQ>_Z]?\`KE%_Z`M5ZL7O
M^O7_`*Y1?^@+1U*ZA;?ZB[_ZY#_T-:KU8MO]1=_]<A_Z&M5Z$"W98N?]1:?]
M<C_Z&U%E_KV_ZY2_^@-1<_ZBT_ZY'_T-J++_`%[?]<I?_0&HZ$_997JP_P#R
M#H?^NLG\DJO5A_\`D'0_]=9/Y)0-]`L/^0C:_P#75/YBJ]6+#_D(VO\`UU3^
M8JO1U#J6$_Y!TW_76/\`D]5ZL)_R#IO^NL?\GJO0AKJ6+_\`Y"-U_P!=7_F:
M+;_47?\`UR'_`*&M%_\`\A&Z_P"NK_S-%M_J+O\`ZY#_`-#6CH3]E%>K%[_K
MU_ZY1?\`H"U7JQ>_Z]?^N47_`*`M'4KJ%E_KV_ZY2_\`H#57JQ9?Z]O^N4O_
M`*`U5Z.HNI8N?]1:?]<C_P"AM18?\A&U_P"NJ?S%%S_J+3_KD?\`T-J+#_D(
MVO\`UU3^8HZ"^RRO5A_^0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2@;Z%>K%__P`A
M&Z_ZZO\`S-5ZL7__`"$;K_KJ_P#,T=1]03_D'3?]=8_Y/5>K"?\`(.F_ZZQ_
MR>J]"!=2Q>_Z]?\`KE%_Z`M%M_J+O_KD/_0UHO?]>O\`URB_]`6BV_U%W_UR
M'_H:T="?LHKU8N?]1:?]<C_Z&U5ZL7/^HM/^N1_]#:AC>Z"R_P!>W_7*7_T!
MJKU8LO\`7M_URE_]`:J]'4.I8?\`Y!T/_763^25/HTGE:O;G.`6V_7(Q4#_\
M@Z'_`*ZR?R2BP_Y"-K_UU3^8I/8EJ\6=[14-K<+=6L<Z='7/T/<5-7*>:]#A
M=4@-OJ=PAZ;RP^AYIE__`,A&Z_ZZO_,UO^([`RQ+=QC+1C#@?W?7\*P+_P#Y
M"-U_UU?^9KI@[I'H4I\R06W^HN_^N0_]#6J]6+;_`%%W_P!<A_Z&M5ZI&JZE
MB]_UZ_\`7*+_`-`6BR_U[?\`7*7_`-`:B]_UZ_\`7*+_`-`6BR_U[?\`7*7_
M`-`:CH3]DKU8N?\`46G_`%R/_H;57JQ<_P"HM/\`KD?_`$-J!OH%A_R$;7_K
MJG\Q5>K%A_R$;7_KJG\Q5K3='FOV#MF.#/+D=?I2;2W$Y*+;8ZQT^74+:!$X
M03/O?^Z,)766UM%:0+#"NU%_7WHM[>*UA6*%`J#]:EKGE+F."I4<_0***K7E
M]#8PF69NG`4<DG_(-3N9I-Z(L$A022`!U)K`U?7&B)M[0\D`F7V(R,?@>M9>
MHZQ/?DIGRX<\(#U^OK5:]_UZ_P#7*+_T!:VC3L]3KIT+.\A8"6AO"223$"2?
M]]:K58MO]1=_]<A_Z&M5ZU1TKJ6+G_46G_7(_P#H;467^O;_`*Y2_P#H#47/
M^HM/^N1_]#:BR_U[?]<I?_0&HZ"^RRO5A_\`D'0_]=9/Y)5>K#_\@Z'_`*ZR
M?R2@;Z!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+"?\@Z;_KK'_)ZKU83_
M`)!TW_76/^3U7H0UU+%__P`A&Z_ZZO\`S-%M_J+O_KD/_0UHO_\`D(W7_75_
MYFBV_P!1=_\`7(?^AK1T)^RBO5B]_P!>O_7*+_T!:KU8O?\`7K_URB_]`6CJ
M5U"R_P!>W_7*7_T!JKU8LO\`7M_URE_]`:J]'474L7/^HM/^N1_]#:BP_P"0
MC:_]=4_F*+G_`%%I_P!<C_Z&U%A_R$;7_KJG\Q1T%]EE>K#_`/(.A_ZZR?R2
MJ]6'_P"0=#_UUD_DE`WT*]6+_P#Y"-U_UU?^9JO5B_\`^0C=?]=7_F:.H^H)
M_P`@Z;_KK'_)ZKU83_D'3?\`76/^3U7H0+J6+W_7K_URB_\`0%HMO]1=_P#7
M(?\`H:T7O^O7_KE%_P"@+1;?ZB[_`.N0_P#0UHZ$_917JQ<_ZBT_ZY'_`-#:
MJ]6+G_46G_7(_P#H;4,;W067^O;_`*Y2_P#H#57JQ9?Z]O\`KE+_`.@-5>CJ
M'4L/_P`@Z'_KK)_)*KU8?_D'0_\`763^257H01V-CQ9_R.6N?]A"?_T8U8];
M'BS_`)'+7/\`L(3_`/HQJQZI[D4/X4?1!5BY_P!1:?\`7(_^AM5>K%S_`*BT
M_P"N1_\`0VJ66]T%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L/_P`@Z'_K
MK)_)*KU8?_D'0_\`763^257H01V+%_\`\A&Z_P"NK_S-"?\`(.F_ZZQ_R>B_
M_P"0C=?]=7_F:$_Y!TW_`%UC_D]'07V45ZL7O^O7_KE%_P"@+5>K%[_KU_ZY
M1?\`H"T=2NH6W^HN_P#KD/\`T-:KU8MO]1=_]<A_Z&M5Z$"W98N?]1:?]<C_
M`.AM19?Z]O\`KE+_`.@-1<_ZBT_ZY'_T-J++_7M_URE_]`:CH3]EE>K#_P#(
M.A_ZZR?R2J]6'_Y!T/\`UUD_DE`WT"P_Y"-K_P!=4_F*KU8L/^0C:_\`75/Y
MBJ]'4.I83_D'3?\`76/^3U7JPG_(.F_ZZQ_R>J]"&NI8O_\`D(W7_75_YFBV
M_P!1=_\`7(?^AK1?_P#(1NO^NK_S-%M_J+O_`*Y#_P!#6CH3]E%>K%[_`*]?
M^N47_H"U7JQ>_P"O7_KE%_Z`M'4KJ%E_KV_ZY2_^@-5>K%E_KV_ZY2_^@-5>
MCJ+J6+G_`%%I_P!<C_Z&U%A_R$;7_KJG\Q1<_P"HM/\`KD?_`$-J+#_D(VO_
M`%U3^8HZ"^RRO5A_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2@;Z%>K%_P#\A&Z_
MZZO_`#-5ZL7_`/R$;K_KJ_\`,T=1]03_`)!TW_76/^3U7JPG_(.F_P"NL?\`
M)ZKT(%U+%[_KU_ZY1?\`H"T6W^HN_P#KD/\`T-:+W_7K_P!<HO\`T!:+;_47
M?_7(?^AK1T)^RBO5BY_U%I_UR/\`Z&U5ZL7/^HM/^N1_]#:AC>Z"R_U[?]<I
M?_0&JO5BR_U[?]<I?_0&JO1U#J6'_P"0=#_UUD_DE%A_R$;7_KJG\Q0__(.A
M_P"NLG\DHL/^0C:_]=4_F*.@OLLT]`U,6TAM9FQ$YRK$_=/^!KJJ\ZK?TK6F
M@M&%T6>-'5%8=0"&_/I652'5'/6HW]Z)TI`(((R#U%<WJ^A2F:2YM09`Y+,G
M<$^GK7007,-S'OAD5U]C4M9J3BSGA.4'H<'`I6*\5@01$,@]OG6JU=_-:P7`
M82Q*VX8)(YQG/7\!6?)X=L'!VK(G^Z_^.:T55=3ICB(]3F+W_7K_`-<HO_0%
MHLO]>W_7*7_T!JZ>3P]9R2!V>8X55QN&,``>GM4D.A6,+;A&Q)!7EST(P?T-
M/VBL-XB%K'&5IKIMU>PVGDQ$J(CEFX`^=JZF&PM(#F*WC4^NWG\ZLU+J]B)8
MF^R,;3_#\5JZS3OYLJG(`X4'^M;(````P!03CK6?<:W8VX.9A(P_AC^;]>E1
MK)F#<ZC-"HI[F&VCWS2*B^YK`O/$$[VJ/;((@[LN3R>`O^-8,LTD\A>5V=CW
M8YJHTV]S6&';U9T&I^()(Y9+>U7:R,5:1O4<<"L8R/+8W#R.68S1Y+')Z/3;
M_P#Y"-U_UU?^9H3_`)!TW_76/^3UJHI+0Z8PC&.A7JQ>_P"O7_KE%_Z`M5ZL
M7O\`KU_ZY1?^@+5=33J%M_J+O_KD/_0UJO5BV_U%W_UR'_H:U7H0+=EBY_U%
MI_UR/_H;467^O;_KE+_Z`U%S_J+3_KD?_0VHLO\`7M_URE_]`:CH3]EE>K#_
M`/(.A_ZZR?R2J]6'_P"0=#_UUD_DE`WT"P_Y"-K_`-=4_F*KU8L/^0C:_P#7
M5/YBJ]'4.I83_D'3?]=8_P"3U7JPG_(.F_ZZQ_R>J]"&NI8O_P#D(W7_`%U?
M^9HMO]1=_P#7(?\`H:T7_P#R$;K_`*ZO_,T6W^HN_P#KD/\`T-:.A/V45ZL7
MO^O7_KE%_P"@+5>K%[_KU_ZY1?\`H"T=2NH67^O;_KE+_P"@-5>K%E_KV_ZY
M2_\`H#57HZBZEBY_U%I_UR/_`*&U%A_R$;7_`*ZI_,47/^HM/^N1_P#0VHL/
M^0C:_P#75/YBCH+[+*]6'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)_)*!OH5ZL7__
M`"$;K_KJ_P#,U7JQ?_\`(1NO^NK_`,S1U'U!/^0=-_UUC_D]5ZL)_P`@Z;_K
MK'_)ZKT(%U+%[_KU_P"N47_H"T6W^HN_^N0_]#6B]_UZ_P#7*+_T!:+;_47?
M_7(?^AK1T)^RBO5BY_U%I_UR/_H;57JQ<_ZBT_ZY'_T-J&-[H++_`%[?]<I?
M_0&JO5BR_P!>W_7*7_T!JKT=0ZEA_P#D'0_]=9/Y)5>K#_\`(.A_ZZR?R2J]
M"".QL>+/^1RUS_L(3_\`HQJQZV/%G_(Y:Y_V$)__`$8U8]4]R*'\*/H@JQ<_
MZBT_ZY'_`-#:J]6+G_46G_7(_P#H;5++>Z"P_P"0C:_]=4_F*KU8L/\`D(VO
M_75/YBJ]'4.I8?\`Y!T/_763^257JP__`"#H?^NLG\DJO0@CL6+_`/Y"-U_U
MU?\`F:$_Y!TW_76/^3T7_P#R$;K_`*ZO_,T)_P`@Z;_KK'_)Z.@OLHKU8O?]
M>O\`URB_]`6J]6+W_7K_`-<HO_0%HZE=0MO]1=_]<A_Z&M5ZL6W^HN_^N0_]
M#6J]"!;LL7/^HM/^N1_]#:BR_P!>W_7*7_T!J+G_`%%I_P!<C_Z&U%E_KV_Z
MY2_^@-1T)^RRO5A_^0=#_P!=9/Y)5>K#_P#(.A_ZZR?R2@;Z!8?\A&U_ZZI_
M,57JQ8?\A&U_ZZI_,57HZAU+"?\`(.F_ZZQ_R>J]6$_Y!TW_`%UC_D]5Z$-=
M2Q?_`/(1NO\`KJ_\S1;?ZB[_`.N0_P#0UHO_`/D(W7_75_YFBV_U%W_UR'_H
M:T="?LHKU8O?]>O_`%RB_P#0%JO5B]_UZ_\`7*+_`-`6CJ5U"R_U[?\`7*7_
M`-`:J]6++_7M_P!<I?\`T!JKT=1=2Q<_ZBT_ZY'_`-#:BP_Y"-K_`-=4_F*+
MG_46G_7(_P#H;46'_(1M?^NJ?S%'07V65ZL/_P`@Z'_KK)_)*KU8?_D'0_\`
M763^24#?0KU8O_\`D(W7_75_YFJ]6+__`)"-U_UU?^9HZCZ@G_(.F_ZZQ_R>
MJ]6$_P"0=-_UUC_D]5Z$"ZEB]_UZ_P#7*+_T!:+;_47?_7(?^AK1>_Z]?^N4
M7_H"T6W^HN_^N0_]#6CH3]E%>K%S_J+3_KD?_0VJO5BY_P!1:?\`7(_^AM0Q
MO=!9?Z]O^N4O_H#57JQ9?Z]O^N4O_H#57HZAU+#_`/(.A_ZZR?R2BP_Y"-K_
M`-=4_F*'_P"0=#_UUD_DE%A_R$;7_KJG\Q1T%]EE>K"?\@Z;_KK'_)ZKU83_
M`)!TW_76/^3T,;V(HY9(7WQ.R,.ZG!K9EUZ]MKV>/*2(LK`!EZ#/M6'5B_\`
M^0C=?]=7_F:32;U%*$9/5&];^)/,25I+;'EIN^5^OS`>GO3AXHM\<V\OYBN?
MM_\`47?_`%R'_H:U7J?9Q,_809U<OB."%PI@D.55N,=P#_6FQ^)$E<JELW"L
MW+>BD_TKGKW_`%Z_]<H__0%HLO\`7M_URE_]`:CV<;"]A#EN:TGBB<C]W;QJ
M?]HD_P"%0W>MWS16[+*(]\99MJCKN8=_H*QZL7'^HM/^N1_]#:GR11?LH*VA
M):W$T^I6IFE>3]\OWF)[BJ=6+#_D(VO_`%U3^8JO5+<M))EA_P#D'0_]=9/Y
M)5>K#_\`(.A_ZZR?R2J]"".Q8O\`_D(W7_75_P"9H3_D'3?]=8_Y/1?_`/(1
MNO\`KJ_\S0G_`"#IO^NL?\GHZ"^RBO5B]_UZ_P#7*+_T!:KU8O?]>O\`URB_
M]`6CJ5U"V_U%W_UR'_H:U7JQ;?ZB[_ZY#_T-:KT(%NRQ<_ZBT_ZY'_T-J++_
M`%[?]<I?_0&HN?\`46G_`%R/_H;467^O;_KE+_Z`U'0G[+*]6'_Y!T/_`%UD
M_DE5ZL/_`,@Z'_KK)_)*!OH%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L)
M_P`@Z;_KK'_)ZKU83_D'3?\`76/^3U7H0UU+%_\`\A&Z_P"NK_S-%M_J+O\`
MZY#_`-#6B_\`^0C=?]=7_F:+;_47?_7(?^AK1T)^RBO5B]_UZ_\`7*+_`-`6
MJ]6+W_7K_P!<HO\`T!:.I74++_7M_P!<I?\`T!JKU8LO]>W_`%RE_P#0&JO1
MU%U+%S_J+3_KD?\`T-J+#_D(VO\`UU3^8HN?]1:?]<C_`.AM18?\A&U_ZZI_
M,4=!?997JP__`"#H?^NLG\DJO5A_^0=#_P!=9/Y)0-]"O5B__P"0C=?]=7_F
M:KU8O_\`D(W7_75_YFCJ/J"?\@Z;_KK'_)ZKU83_`)!TW_76/^3U7H0+J6+W
M_7K_`-<HO_0%HMO]1=_]<A_Z&M%[_KU_ZY1?^@+1;?ZB[_ZY#_T-:.A/V45Z
ML7/^HM/^N1_]#:J]6+G_`%%I_P!<C_Z&U#&]T%E_KV_ZY2_^@-5>K%E_KV_Z
MY2_^@-5>CJ'4L/\`\@Z'_KK)_)*KU8?_`)!T/_763^257H01V-CQ9_R.6N?]
MA"?_`-&-6/6QXL_Y'+7/^PA/_P"C&K'JGN10_A1]$%6+G_46G_7(_P#H;57J
MQ<_ZBT_ZY'_T-JEEO=!8?\A&U_ZZI_,57JQ8?\A&U_ZZI_,57HZAU+#_`/(.
MA_ZZR?R2J]6'_P"0=#_UUD_DE5Z$$=BQ?_\`(1NO^NK_`,S0G_(.F_ZZQ_R>
MB_\`^0C=?]=7_F:$_P"0=-_UUC_D]'07V45ZL7O^O7_KE%_Z`M5ZL7O^O7_K
ME%_Z`M'4KJ%M_J+O_KD/_0UJO5BV_P!1=_\`7(?^AK5>A`MV6+G_`%%I_P!<
MC_Z&U%E_KV_ZY2_^@-1<_P"HM/\`KD?_`$-J++_7M_URE_\`0&HZ$_997JP_
M_(.A_P"NLG\DJO5A_P#D'0_]=9/Y)0-]`L/^0C:_]=4_F*KU8L/^0C:_]=4_
MF*KT=0ZEA/\`D'3?]=8_Y/5>K"?\@Z;_`*ZQ_P`GJO0AKJ6+_P#Y"-U_UU?^
M9HMO]1=_]<A_Z&M%_P#\A&Z_ZZO_`#-%M_J+O_KD/_0UHZ$_917JQ>_Z]?\`
MKE%_Z`M5ZL7O^O7_`*Y1?^@+1U*ZA9?Z]O\`KE+_`.@-5>K%E_KV_P"N4O\`
MZ`U5Z.HNI8N?]1:?]<C_`.AM18?\A&U_ZZI_,47/^HM/^N1_]#:BP_Y"-K_U
MU3^8HZ"^RRO5A_\`D'0_]=9/Y)5>K#_\@Z'_`*ZR?R2@;Z%>K%__`,A&Z_ZZ
MO_,U7JQ?_P#(1NO^NK_S-'4?4$_Y!TW_`%UC_D]5ZL)_R#IO^NL?\GJO0@74
ML7O^O7_KE%_Z`M%M_J+O_KD/_0UHO?\`7K_URB_]`6BV_P!1=_\`7(?^AK1T
M)^RBO5BY_P!1:?\`7(_^AM5>K%S_`*BT_P"N1_\`0VH8WN@LO]>W_7*7_P!`
M:J]6++_7M_URE_\`0&JO1U#J6'_Y!T/_`%UD_DE%A_R$;7_KJG\Q0_\`R#H?
M^NLG\DHL/^0C:_\`75/YBCH+[+*]6$_Y!TW_`%UC_D]5ZL)_R#IO^NL?\GH8
MWL5ZL7__`"$;K_KJ_P#,U7JQ?_\`(1NO^NK_`,S1U'U"V_U%W_UR'_H:U7JQ
M;?ZB[_ZY#_T-:KT(%U+%[_KU_P"N47_H"T67^O;_`*Y2_P#H#47O^O7_`*Y1
M?^@+19?Z]O\`KE+_`.@-1T)^R5ZL7/\`J+3_`*Y'_P!#:J]6+G_46G_7(_\`
MH;4#?0+#_D(VO_75/YBJ]6+#_D(VO_75/YBJ]'4.I8?_`)!T/_763^257JP_
M_(.A_P"NLG\DJO0@CL6+_P#Y"-U_UU?^9H3_`)!TW_76/^3T7_\`R$;K_KJ_
M\S0G_(.F_P"NL?\`)Z.@OLHKU8O?]>O_`%RB_P#0%JO5B]_UZ_\`7*+_`-`6
MCJ5U"V_U%W_UR'_H:U7JQ;?ZB[_ZY#_T-:KT(%NRQ<_ZBT_ZY'_T-J++_7M_
MURE_]`:BY_U%I_UR/_H;467^O;_KE+_Z`U'0G[+*]6'_`.0=#_UUD_DE5ZL/
M_P`@Z'_KK)_)*!OH%A_R$;7_`*ZI_,57JQ8?\A&U_P"NJ?S%5Z.H=2PG_(.F
M_P"NL?\`)ZKU83_D'3?]=8_Y/5>A#74L7_\`R$;K_KJ_\S1;?ZB[_P"N0_\`
M0UHO_P#D(W7_`%U?^9HMO]1=_P#7(?\`H:T="?LHKU8O?]>O_7*+_P!`6J]6
M+W_7K_URB_\`0%HZE=0LO]>W_7*7_P!`:J]6++_7M_URE_\`0&JO1U%U+%S_
M`*BT_P"N1_\`0VHL/^0C:_\`75/YBBY_U%I_UR/_`*&U%A_R$;7_`*ZI_,4=
M!?997JP__(.A_P"NLG\DJO5A_P#D'0_]=9/Y)0-]"O5B_P#^0C=?]=7_`)FJ
M]6+_`/Y"-U_UU?\`F:.H^H)_R#IO^NL?\GJO5A/^0=-_UUC_`)/5>A`NI8O?
M]>O_`%RB_P#0%HMO]1=_]<A_Z&M%[_KU_P"N47_H"T6W^HN_^N0_]#6CH3]E
M%>K%S_J+3_KD?_0VJO5BY_U%I_UR/_H;4,;W067^O;_KE+_Z`U5ZL67^O;_K
ME+_Z`U5Z.H=2P_\`R#H?^NLG\DJO5A_^0=#_`-=9/Y)5>A!'8V/%G_(Y:Y_V
M$)__`$8U8];'BS_D<M<_["$__HQJQZI[D4/X4?1!5BY_U%I_UR/_`*&U5ZL7
M/^HM/^N1_P#0VJ66]T%A_P`A&U_ZZI_,57JQ8?\`(1M?^NJ?S%5Z.H=2P_\`
MR#H?^NLG\DJO5A_^0=#_`-=9/Y)5>A!'8L7_`/R$;K_KJ_\`,T)_R#IO^NL?
M\GHO_P#D(W7_`%U?^9H3_D'3?]=8_P"3T=!?917JQ>_Z]?\`KE%_Z`M5ZL7O
M^O7_`*Y1?^@+1U*ZA;?ZB[_ZY#_T-:KU8MO]1=_]<A_Z&M5Z$"W98N?]1:?]
M<C_Z&U%E_KV_ZY2_^@-1<_ZBT_ZY'_T-J++_`%[?]<I?_0&HZ$_997JP_P#R
M#H?^NLG\DJO5A_\`D'0_]=9/Y)0-]`L/^0C:_P#75/YBJ]6+#_D(VO\`UU3^
M8JO1U#J6$_Y!TW_76/\`D]5ZL)_R#IO^NL?\GJO0AKJ6+_\`Y"-U_P!=7_F:
M+;_47?\`UR'_`*&M%_\`\A&Z_P"NK_S-%M_J+O\`ZY#_`-#6CH3]E%>K%[_K
MU_ZY1?\`H"U7JQ>_Z]?^N47_`*`M'4KJ%E_KV_ZY2_\`H#57JQ9?Z]O^N4O_
M`*`U5Z.HNI8N?]1:?]<C_P"AM18?\A&U_P"NJ?S%%S_J+3_KD?\`T-J+#_D(
MVO\`UU3^8HZ"^RRO5A_^0=#_`-=9/Y)5>K#_`/(.A_ZZR?R2@;Z%>K%__P`A
M&Z_ZZO\`S-5ZL7__`"$;K_KJ_P#,T=1]03_D'3?]=8_Y/5>K"?\`(.F_ZZQ_
MR>J]"!=2Q>_Z]?\`KE%_Z`M%M_J+O_KD/_0UHO?]>O\`URB_]`6BV_U%W_UR
M'_H:T="?LHKU8N?]1:?]<C_Z&U5ZL7/^HM/^N1_]#:AC>Z"R_P!>W_7*7_T!
MJKU8LO\`7M_URE_]`:J]'4.I8?\`Y!T/_763^246'_(1M?\`KJG\Q0__`"#H
M?^NLG\DHL/\`D(VO_75/YBCH+[+*]6$_Y!TW_76/^3U7JPG_`"#IO^NL?\GH
M8WL5ZL7_`/R$;K_KJ_\`,U7JQ?\`_(1NO^NK_P`S1U'U"V_U%W_UR'_H:U7J
MQ;?ZB[_ZY#_T-:KT(%U+%[_KU_ZY1?\`H"T67^O;_KE+_P"@-1>_Z]?^N47_
M`*`M%E_KV_ZY2_\`H#4="?LE>K%S_J+3_KD?_0VJO5BY_P!1:?\`7(_^AM0-
M]`L/^0C:_P#75/YBJ]6+#_D(VO\`UU3^8JO1U#J6'_Y!T/\`UUD_DE5ZL/\`
M\@Z'_KK)_)*KT(([%B__`.0C=?\`75_YFA/^0=-_UUC_`)/1?_\`(1NO^NK_
M`,S0G_(.F_ZZQ_R>CH+[**]6+W_7K_URB_\`0%JO5B]_UZ_]<HO_`$!:.I74
M+;_47?\`UR'_`*&M5ZL6W^HN_P#KD/\`T-:KT(%NRQ<_ZBT_ZY'_`-#:BR_U
M[?\`7*7_`-`:BY_U%I_UR/\`Z&U%E_KV_P"N4O\`Z`U'0G[+*]6'_P"0=#_U
MUD_DE5ZL/_R#H?\`KK)_)*!OH%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4
ML)_R#IO^NL?\GJO5A/\`D'3?]=8_Y/5>A#74L7__`"$;K_KJ_P#,T6W^HN_^
MN0_]#6B__P"0C=?]=7_F:+;_`%%W_P!<A_Z&M'0G[**]6+W_`%Z_]<HO_0%J
MO5B]_P!>O_7*+_T!:.I74++_`%[?]<I?_0&JO5BR_P!>W_7*7_T!JKT=1=2Q
M<_ZBT_ZY'_T-J+#_`)"-K_UU3^8HN?\`46G_`%R/_H;46'_(1M?^NJ?S%'07
MV65ZL/\`\@Z'_KK)_)*KU8?_`)!T/_763^24#?0KU8O_`/D(W7_75_YFJ]6+
M_P#Y"-U_UU?^9HZCZ@G_`"#IO^NL?\GJO5A/^0=-_P!=8_Y/5>A`NI8O?]>O
M_7*+_P!`6BV_U%W_`-<A_P"AK1>_Z]?^N47_`*`M%M_J+O\`ZY#_`-#6CH3]
ME%>K%S_J+3_KD?\`T-JKU8N?]1:?]<C_`.AM0QO=!9?Z]O\`KE+_`.@-5>K%
ME_KV_P"N4O\`Z`U5Z.H=2P__`"#H?^NLG\DJO5A_^0=#_P!=9/Y)5>A!'8V/
M%G_(Y:Y_V$)__1C5CUL>+/\`D<M<_P"PA/\`^C&K'JGN10_A1]$%6+G_`%%I
M_P!<C_Z&U5ZL7/\`J+3_`*Y'_P!#:I9;W06'_(1M?^NJ?S%5ZL6'_(1M?^NJ
M?S%5Z.H=2P__`"#H?^NLG\DJO5A_^0=#_P!=9/Y)5>A!'8L7_P#R$;K_`*ZO
M_,T)_P`@Z;_KK'_)Z+__`)"-U_UU?^9H3_D'3?\`76/^3T=!?917JQ>_Z]?^
MN47_`*`M5ZL7O^O7_KE%_P"@+1U*ZA;?ZB[_`.N0_P#0UJO5BV_U%W_UR'_H
M:U7H0+=EBY_U%I_UR/\`Z&U%E_KV_P"N4O\`Z`U%S_J+3_KD?_0VHLO]>W_7
M*7_T!J.A/V65ZL/_`,@Z'_KK)_)*KU8?_D'0_P#763^24#?0+#_D(VO_`%U3
M^8JO5BP_Y"-K_P!=4_F*KT=0ZEA/^0=-_P!=8_Y/5>K"?\@Z;_KK'_)ZKT(:
MZEB__P"0C=?]=7_F:+;_`%%W_P!<A_Z&M%__`,A&Z_ZZO_,T6W^HN_\`KD/_
M`$-:.A/V45ZL7O\`KU_ZY1?^@+5>K%[_`*]?^N47_H"T=2NH67^O;_KE+_Z`
MU5ZL67^O;_KE+_Z`U5Z.HNI8N?\`46G_`%R/_H;46'_(1M?^NJ?S%%S_`*BT
M_P"N1_\`0VHL/^0C:_\`75/YBCH+[+*]6'_Y!T/_`%UD_DE5ZL/_`,@Z'_KK
M)_)*!OH5ZL7_`/R$;K_KJ_\`,U7JQ?\`_(1NO^NK_P`S1U'U!/\`D'3?]=8_
MY/5>K"?\@Z;_`*ZQ_P`GJO0@74L7O^O7_KE%_P"@+1;?ZB[_`.N0_P#0UHO?
M]>O_`%RB_P#0%HMO]1=_]<A_Z&M'0G[**]6+G_46G_7(_P#H;57JQ<_ZBT_Z
MY'_T-J&-[H++_7M_URE_]`:J]6++_7M_URE_]`:J]'4.I8?_`)!T/_763^24
M6'_(1M?^NJ?S%#_\@Z'_`*ZR?R2BP_Y"-K_UU3^8HZ"^RRO5A/\`D'3?]=8_
MY/5>K"?\@Z;_`*ZQ_P`GH8WL5ZL7_P#R$;K_`*ZO_,U7JQ?_`/(1NO\`KJ_\
MS1U'U"V_U%W_`-<A_P"AK5>K%M_J+O\`ZY#_`-#6J]"!=2Q>_P"O7_KE%_Z`
MM%E_KV_ZY2_^@-1>_P"O7_KE%_Z`M%E_KV_ZY2_^@-1T)^R5ZL7/^HM/^N1_
M]#:J]6+G_46G_7(_^AM0-]`L/^0C:_\`75/YBJ]6+#_D(VO_`%U3^8JO1U#J
M6'_Y!T/_`%UD_DE5ZL/_`,@Z'_KK)_)*KT(([%B__P"0C=?]=7_F:$_Y!TW_
M`%UC_D]%_P#\A&Z_ZZO_`#-"?\@Z;_KK'_)Z.@OLHKU8O?\`7K_URB_]`6J]
M6+W_`%Z_]<HO_0%HZE=0MO\`47?_`%R'_H:U7JQ;?ZB[_P"N0_\`0UJO0@6[
M+%S_`*BT_P"N1_\`0VHLO]>W_7*7_P!`:BY_U%I_UR/_`*&U%E_KV_ZY2_\`
MH#4="?LLKU8?_D'0_P#763^257JP_P#R#H?^NLG\DH&^@6'_`"$;7_KJG\Q5
M>K%A_P`A&U_ZZI_,57HZAU+"?\@Z;_KK'_)ZKU83_D'3?]=8_P"3U7H0UU+%
M_P#\A&Z_ZZO_`#-%M_J+O_KD/_0UHO\`_D(W7_75_P"9HMO]1=_]<A_Z&M'0
MG[**]6+W_7K_`-<HO_0%JO5B]_UZ_P#7*+_T!:.I74++_7M_URE_]`:J]6++
M_7M_URE_]`:J]'474L7/^HM/^N1_]#:BP_Y"-K_UU3^8HN?]1:?]<C_Z&U%A
M_P`A&U_ZZI_,4=!?997JP_\`R#H?^NLG\DJO5A_^0=#_`-=9/Y)0-]"O5B__
M`.0C=?\`75_YFJ]6+_\`Y"-U_P!=7_F:.H^H)_R#IO\`KK'_`">J]6$_Y!TW
M_76/^3U7H0+J6+W_`%Z_]<HO_0%HMO\`47?_`%R'_H:T7O\`KU_ZY1?^@+1;
M?ZB[_P"N0_\`0UHZ$_917JQ<_P"HM/\`KD?_`$-JKU8N?]1:?]<C_P"AM0QO
M=!9?Z]O^N4O_`*`U5ZL67^O;_KE+_P"@-5>CJ'4L/_R#H?\`KK)_)*KU8?\`
MY!T/_763^257H01V-CQ9_P`CEKG_`&$)_P#T8U8];'BS_D<M<_["$_\`Z,:L
M>J>Y%#^%'T058N?]1:?]<C_Z&U5ZL7/^HM/^N1_]#:I9;W06'_(1M?\`KJG\
MQ5>K%A_R$;7_`*ZI_,57HZAU+#_\@Z'_`*ZR?R2J]6'_`.0=#_UUD_DE5Z$$
M=BQ?_P#(1NO^NK_S-"?\@Z;_`*ZQ_P`GHO\`_D(W7_75_P"9H3_D'3?]=8_Y
M/1T%]E%>K%[_`*]?^N47_H"U7JQ>_P"O7_KE%_Z`M'4KJ%M_J+O_`*Y#_P!#
M6J]6+;_47?\`UR'_`*&M5Z$"W98N?]1:?]<C_P"AM19?Z]O^N4O_`*`U%S_J
M+3_KD?\`T-J++_7M_P!<I?\`T!J.A/V65ZL/_P`@Z'_KK)_)*KU8?_D'0_\`
M763^24#?0+#_`)"-K_UU3^8JO5BP_P"0C:_]=4_F*KT=0ZEA/^0=-_UUC_D]
M5ZL)_P`@Z;_KK'_)ZKT(:ZEB_P#^0C=?]=7_`)FBV_U%W_UR'_H:T7__`"$;
MK_KJ_P#,T6W^HN_^N0_]#6CH3]E%>K%[_KU_ZY1?^@+5>K%[_KU_ZY1?^@+1
MU*ZA9?Z]O^N4O_H#57JQ9?Z]O^N4O_H#57HZBZEBY_U%I_UR/_H;46'_`"$;
M7_KJG\Q1<_ZBT_ZY'_T-J+#_`)"-K_UU3^8HZ"^RRO5A_P#D'0_]=9/Y)5>K
M#_\`(.A_ZZR?R2@;Z%>K%_\`\A&Z_P"NK_S-5ZL7_P#R$;K_`*ZO_,T=1]03
M_D'3?]=8_P"3U7JPG_(.F_ZZQ_R>J]"!=2Q>_P"O7_KE%_Z`M%M_J+O_`*Y#
M_P!#6B]_UZ_]<HO_`$!:+;_47?\`UR'_`*&M'0G[**]6+G_46G_7(_\`H;57
MJQ<_ZBT_ZY'_`-#:AC>Z"R_U[?\`7*7_`-`:J]6++_7M_P!<I?\`T!JKT=0Z
MEA_^0=#_`-=9/Y)18?\`(1M?^NJ?S%#_`/(.A_ZZR?R2BP_Y"-K_`-=4_F*.
M@OLLKU83_D'3?]=8_P"3U7JPG_(.F_ZZQ_R>AC>Q7JQ?_P#(1NO^NK_S-5ZL
M7_\`R$;K_KJ_\S1U'U"V_P!1=_\`7(?^AK5>K%M_J+O_`*Y#_P!#6J]"!=2Q
M>_Z]?^N47_H"T67^O;_KE+_Z`U%[_KU_ZY1?^@+19?Z]O^N4O_H#4="?LE>K
M%S_J+3_KD?\`T-JKU8N?]1:?]<C_`.AM0-]`L/\`D(VO_75/YBJ]6+#_`)"-
MK_UU3^8JO1U#J6'_`.0=#_UUD_DE5ZL/_P`@Z'_KK)_)*KT(([%B_P#^0C=?
M]=7_`)FA/^0=-_UUC_D]%_\`\A&Z_P"NK_S-"?\`(.F_ZZQ_R>CH+[**]6+W
M_7K_`-<HO_0%JO5B]_UZ_P#7*+_T!:.I74+;_47?_7(?^AK5>K%M_J+O_KD/
M_0UJO0@6[+%S_J+3_KD?_0VHLO\`7M_URE_]`:BY_P!1:?\`7(_^AM19?Z]O
M^N4O_H#4="?LLKU8?_D'0_\`763^257JP_\`R#H?^NLG\DH&^@6'_(1M?^NJ
M?S%5ZL6'_(1M?^NJ?S%5Z.H=2PG_`"#IO^NL?\GJO5A/^0=-_P!=8_Y/5>A#
M74L7_P#R$;K_`*ZO_,T6W^HN_P#KD/\`T-:+_P#Y"-U_UU?^9HMO]1=_]<A_
MZ&M'0G[**]6+W_7K_P!<HO\`T!:KU8O?]>O_`%RB_P#0%HZE=0LO]>W_`%RE
M_P#0&JO5BR_U[?\`7*7_`-`:J]'474L7/^HM/^N1_P#0VHL/^0C:_P#75/YB
MBY_U%I_UR/\`Z&U%A_R$;7_KJG\Q1T%]EE>K#_\`(.A_ZZR?R2J]6'_Y!T/_
M`%UD_DE`WT*]6+__`)"-U_UU?^9JO5B__P"0C=?]=7_F:.H^H)_R#IO^NL?\
MGJO5A/\`D'3?]=8_Y/5>A`NI8O?]>O\`URB_]`6BV_U%W_UR'_H:T7O^O7_K
ME%_Z`M%M_J+O_KD/_0UHZ$_917JQ<_ZBT_ZY'_T-JKU8N?\`46G_`%R/_H;4
M,;W067^O;_KE+_Z`U5ZL67^O;_KE+_Z`U5Z.H=2P_P#R#H?^NLG\DJO5A_\`
MD'0_]=9/Y)5>A!'8V/%G_(Y:Y_V$)_\`T8U8];'BS_D<M<_["$__`*,:L>J>
MY%#^%'T058N?]1:?]<C_`.AM5>K%S_J+3_KD?_0VJ66]T%A_R$;7_KJG\Q5>
MK%A_R$;7_KJG\Q5>CJ'4L/\`\@Z'_KK)_)*KU8?_`)!T/_763^257H01V+%_
M_P`A&Z_ZZO\`S-"?\@Z;_KK'_)Z+_P#Y"-U_UU?^9H3_`)!TW_76/^3T=!?9
M17JQ>_Z]?^N47_H"U7JQ>_Z]?^N47_H"T=2NH6W^HN_^N0_]#6J]6+;_`%%W
M_P!<A_Z&M5Z$"W98N?\`46G_`%R/_H;467^O;_KE+_Z`U%S_`*BT_P"N1_\`
M0VHLO]>W_7*7_P!`:CH3]EE>K#_\@Z'_`*ZR?R2J]6'_`.0=#_UUD_DE`WT"
MP_Y"-K_UU3^8JO5BP_Y"-K_UU3^8JO1U#J6$_P"0=-_UUC_D]5ZL)_R#IO\`
MKK'_`">J]"&NI8O_`/D(W7_75_YFBV_U%W_UR'_H:T7_`/R$;K_KJ_\`,T6W
M^HN_^N0_]#6CH3]E%>K%[_KU_P"N47_H"U7JQ>_Z]?\`KE%_Z`M'4KJ%E_KV
M_P"N4O\`Z`U5ZL67^O;_`*Y2_P#H#57HZBZEBY_U%I_UR/\`Z&U%A_R$;7_K
MJG\Q1<_ZBT_ZY'_T-J+#_D(VO_75/YBCH+[+*]6'_P"0=#_UUD_DE5ZL/_R#
MH?\`KK)_)*!OH5ZL7_\`R$;K_KJ_\S5>K%__`,A&Z_ZZO_,T=1]03_D'3?\`
M76/^3U7JPG_(.F_ZZQ_R>J]"!=2Q>_Z]?^N47_H"T6W^HN_^N0_]#6B]_P!>
MO_7*+_T!:+;_`%%W_P!<A_Z&M'0G[**]6+G_`%%I_P!<C_Z&U5ZL7/\`J+3_
M`*Y'_P!#:AC>Z"R_U[?]<I?_`$!JKU8LO]>W_7*7_P!`:J]'4.I8?_D'0_\`
M763^246'_(1M?^NJ?S%#_P#(.A_ZZR?R2BP_Y"-K_P!=4_F*.@OLLKU83_D'
M3?\`76/^3U7JPG_(.F_ZZQ_R>AC>Q7JQ?_\`(1NO^NK_`,S5>K%__P`A&Z_Z
MZO\`S-'4?4+?_47?_7(?^AK5>K%M_J+O_KD/_0UJO0"ZEB]_UZ_]<HO_`$!:
M++_7M_URE_\`0&HO?]>O_7*+_P!`6BR_U[?]<I?_`$!J.A/V2O5BX_U%I_UR
M/_H;57JQ<_ZBT_ZY'_T-J!OH%A_R$;7_`*ZI_,57JQ8?\A&U_P"NJ?S%5Z.H
M=2P__(.A_P"NLG\DJO5A_P#D'0_]=9/Y)5>A!'8L7_\`R$;K_KJ_\S0G_(.F
M_P"NL?\`)Z+_`/Y"-U_UU?\`F:$_Y!TW_76/^3T=!?917JQ>_P"O7_KE%_Z`
MM5ZL7O\`KU_ZY1?^@+1U*ZA;_P"HN_\`KD/_`$-:KU8MO]1=_P#7(?\`H:U7
MH0+=EBY_U%I_UR/_`*&U%E_KV_ZY2_\`H#47/^HM/^N1_P#0VHLO]>W_`%RE
M_P#0&HZ$_997JP__`"#H?^NLG\DJO5A_^0=#_P!=9/Y)0-]`L/\`D(VO_75/
MYBJ]6+#_`)"-K_UU3^8JO1U#J6$_Y!TW_76/^3U7JPG_`"#IO^NL?\GJO0AK
MJ6+_`/Y"-U_UU?\`F:+;_47?_7(?^AK1?_\`(1NO^NK_`,S1;?ZB[_ZY#_T-
M:.A/V45ZL7O^O7_KE%_Z`M5ZL7O^O7_KE%_Z`M'4KJ%E_KV_ZY2_^@-5>K%E
M_KV_ZY2_^@-5>CJ+J6+G_46G_7(_^AM18?\`(1M?^NJ?S%%S_J+3_KD?_0VH
ML/\`D(VO_75/YBCH+[+*]6'_`.0=#_UUD_DE5ZL/_P`@Z'_KK)_)*!OH5ZL7
M_P#R$;K_`*ZO_,U7JQ?_`/(1NO\`KJ_\S1U'U!/^0=-_UUC_`)/5>K"?\@Z;
M_KK'_)ZKT(%U+%[_`*]?^N47_H"T6W^HN_\`KD/_`$-:+W_7K_URB_\`0%HM
MO]1=_P#7(?\`H:T="?LHKU8N?]1:?]<C_P"AM5>K%S_J+3_KD?\`T-J&-[H+
M+_7M_P!<I?\`T!JKU8LO]>W_`%RE_P#0&JO1U#J6'_Y!T/\`UUD_DE5ZL/\`
M\@Z'_KK)_)*KT(([&QXL_P"1RUS_`+"$_P#Z,:L>MCQ9_P`CEKG_`&$)_P#T
M8U8]4]R*'\*/H@JQ<_ZBT_ZY'_T-JKU8N?\`46G_`%R/_H;5++>Z"P_Y"-K_
M`-=4_F*KU8L/^0C:_P#75/YBJ]'4.I8?_D'0_P#763^257JP_P#R#H?^NLG\
MDJO0@CL6+_\`Y"-U_P!=7_F:$_Y!TW_76/\`D]%__P`A&Z_ZZO\`S-"?\@Z;
M_KK'_)Z.@OLHKU8O?]>O_7*+_P!`6J]6+W_7K_URB_\`0%HZE=0MO]1=_P#7
M(?\`H:U7JQ;?ZB[_`.N0_P#0UJO0@6[+%S_J+3_KD?\`T-J++_7M_P!<I?\`
MT!J+G_46G_7(_P#H;467^O;_`*Y2_P#H#4="?LLKU8?_`)!T/_763^257JP_
M_(.A_P"NLG\DH&^@6'_(1M?^NJ?S%5ZL6'_(1M?^NJ?S%5Z.H=2PG_(.F_ZZ
MQ_R>J]6$_P"0=-_UUC_D]5Z$-=2Q?_\`(1NO^NK_`,S1;?ZB[_ZY#_T-:+__
M`)"-U_UU?^9HMO\`47?_`%R'_H:T="?LHKU8O?\`7K_URB_]`6J]6+W_`%Z_
M]<HO_0%HZE=0LO\`7M_URE_]`:J]6++_`%[?]<I?_0&JO1U%U+%S_J+3_KD?
M_0VHL/\`D(VO_75/YBBY_P!1:?\`7(_^AM18?\A&U_ZZI_,4=!?997JP_P#R
M#H?^NLG\DJO5A_\`D'0_]=9/Y)0-]"O5B_\`^0C=?]=7_F:KU8O_`/D(W7_7
M5_YFCJ/J"?\`(.F_ZZQ_R>J]6$_Y!TW_`%UC_D]5Z$"ZEB]_UZ_]<HO_`$!:
M+;_47?\`UR'_`*&M%[_KU_ZY1?\`H"T6W^HN_P#KD/\`T-:.A/V45ZL7/^HM
M/^N1_P#0VJO5BY_U%I_UR/\`Z&U#&]T%E_KV_P"N4O\`Z`U5ZL67^O;_`*Y2
M_P#H#57HZAU+#_\`(.A_ZZR?R2BP_P"0C:_]=4_F*'_Y!T/_`%UD_DE%A_R$
M;7_KJG\Q1T%]EE>K"?\`(.F_ZZQ_R>J]6$_Y!TW_`%UC_D]#&]BO5B__`.0C
M=?\`75_YFJ]6+_\`Y"-U_P!=7_F:.H^H6W^HN_\`KD/_`$-:KU8MO]1=_P#7
M(?\`H:U7H0+J6+W_`%Z_]<HO_0%HLO\`7M_URE_]`:B]_P!>O_7*+_T!:++_
M`%[?]<I?_0&HZ$_9*]6+G_46G_7(_P#H;57JQ<_ZBT_ZY'_T-J!OH%A_R$;7
M_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L/\`\@Z'_KK)_)*KU8?_`)!T/_763^25
M7H01V+%__P`A&Z_ZZO\`S-"?\@Z;_KK'_)Z+_P#Y"-U_UU?^9H3_`)!TW_76
M/^3T=!?917JQ>_Z]?^N47_H"U7JQ>_Z]?^N47_H"T=2NH6W^HN_^N0_]#6J]
M6+;_`%%W_P!<A_Z&M5Z$"W98N?\`46G_`%R/_H;467^O;_KE+_Z`U%S_`*BT
M_P"N1_\`0VHLO]>W_7*7_P!`:CH3]EE>K#_\@Z'_`*ZR?R2J]6'_`.0=#_UU
MD_DE`WT"P_Y"-K_UU3^8JO5BP_Y"-K_UU3^8JO1U#J6$_P"0=-_UUC_D]5ZL
M)_R#IO\`KK'_`">J]"&NI8O_`/D(W7_75_YFBV_U%W_UR'_H:T7_`/R$;K_K
MJ_\`,T6W^HN_^N0_]#6CH3]E%>K%[_KU_P"N47_H"U7JQ>_Z]?\`KE%_Z`M'
M4KJ%E_KV_P"N4O\`Z`U5ZL67^O;_`*Y2_P#H#57HZBZEBY_U%I_UR/\`Z&U%
MA_R$;7_KJG\Q1<_ZBT_ZY'_T-J+#_D(VO_75/YBCH+[+*]6'_P"0=#_UUD_D
ME5ZL/_R#H?\`KK)_)*!OH5ZL7_\`R$;K_KJ_\S5>K%__`,A&Z_ZZO_,T=1]0
M3_D'3?\`76/^3U7JPG_(.F_ZZQ_R>J]"!=2Q>_Z]?^N47_H"T6W^HN_^N0_]
M#6B]_P!>O_7*+_T!:+;_`%%W_P!<A_Z&M'0G[**]6+G_`%%I_P!<C_Z&U5ZL
M7/\`J+3_`*Y'_P!#:AC>Z"R_U[?]<I?_`$!JKU8LO]>W_7*7_P!`:J]'4.I8
M?_D'0_\`763^257JP_\`R#H?^NLG\DJO0@CL;'BS_D<M<_["$_\`Z,:L>MCQ
M9_R.6N?]A"?_`-&-6/5/<BA_"CZ(*L7/^HM/^N1_]#:J]6+G_46G_7(_^AM4
MLM[H+#_D(VO_`%U3^8JO5BP_Y"-K_P!=4_F*KT=0ZEA_^0=#_P!=9/Y)5>K#
M_P#(.A_ZZR?R2J]"".Q8O_\`D(W7_75_YFA/^0=-_P!=8_Y/1?\`_(1NO^NK
M_P`S0G_(.F_ZZQ_R>CH+[**]6+W_`%Z_]<HO_0%JO5B]_P!>O_7*+_T!:.I7
M4+;_`%%W_P!<A_Z&M5ZL6W^HN_\`KD/_`$-:KT(%NRQ<_P"HM/\`KD?_`$-J
M++_7M_URE_\`0&HN?]1:?]<C_P"AM19?Z]O^N4O_`*`U'0G[+*]6'_Y!T/\`
MUUD_DE5ZL/\`\@Z'_KK)_)*!OH%A_P`A&U_ZZI_,57JQ8?\`(1M?^NJ?S%5Z
M.H=2PG_(.F_ZZQ_R>J]6$_Y!TW_76/\`D]5Z$-=2Q?\`_(1NO^NK_P`S1;?Z
MB[_ZY#_T-:+_`/Y"-U_UU?\`F:+;_47?_7(?^AK1T)^RBO5B]_UZ_P#7*+_T
M!:KU8O?]>O\`URB_]`6CJ5U"R_U[?]<I?_0&JO5BR_U[?]<I?_0&JO1U%U+%
MS_J+3_KD?_0VHL/^0C:_]=4_F*+G_46G_7(_^AM18?\`(1M?^NJ?S%'07V65
MZL/_`,@Z'_KK)_)*KU8?_D'0_P#763^24#?0KU8O_P#D(W7_`%U?^9JO5B__
M`.0C=?\`75_YFCJ/J"?\@Z;_`*ZQ_P`GJO5A/^0=-_UUC_D]5Z$"ZEB]_P!>
MO_7*+_T!:+;_`%%W_P!<A_Z&M%[_`*]?^N47_H"T6W^HN_\`KD/_`$-:.A/V
M45ZL7/\`J+3_`*Y'_P!#:J]6+G_46G_7(_\`H;4,;W067^O;_KE+_P"@-5>K
M%E_KV_ZY2_\`H#57HZAU+#_\@Z'_`*ZR?R2BP_Y"-K_UU3^8H?\`Y!T/_763
M^246'_(1M?\`KJG\Q1T%]EE>K"?\@Z;_`*ZQ_P`GJO5A/^0=-_UUC_D]#&]B
MO5B__P"0C=?]=7_F:KU8O_\`D(W7_75_YFCJ/J%M_J+O_KD/_0UJO5BV_P!1
M=_\`7(?^AK5>A`NI8O?]>O\`URB_]`6BR_U[?]<I?_0&HO?]>O\`URB_]`6B
MR_U[?]<I?_0&HZ$_9*]6+G_46G_7(_\`H;57JQ<_ZBT_ZY'_`-#:@;Z!8?\`
M(1M?^NJ?S%5ZL6'_`"$;7_KJG\Q5>CJ'4L/_`,@Z'_KK)_)*KU8?_D'0_P#7
M63^257H01V+%_P#\A&Z_ZZO_`#-"?\@Z;_KK'_)Z+_\`Y"-U_P!=7_F:$_Y!
MTW_76/\`D]'07V45ZL7O^O7_`*Y1?^@+5>K%[_KU_P"N47_H"T=2NH6W^HN_
M^N0_]#6J]6+;_47?_7(?^AK5>A`MV6+G_46G_7(_^AM19?Z]O^N4O_H#47/^
MHM/^N1_]#:BR_P!>W_7*7_T!J.A/V65ZL/\`\@Z'_KK)_)*KU8?_`)!T/_76
M3^24#?0+#_D(VO\`UU3^8JO5BP_Y"-K_`-=4_F*KT=0ZEA/^0=-_UUC_`)/5
M>K"?\@Z;_KK'_)ZKT(:ZEB__`.0C=?\`75_YFBV_U%W_`-<A_P"AK1?_`/(1
MNO\`KJ_\S1;?ZB[_`.N0_P#0UHZ$_917JQ>_Z]?^N47_`*`M5ZL7O^O7_KE%
M_P"@+1U*ZA9?Z]O^N4O_`*`U5ZL67^O;_KE+_P"@-5>CJ+J6+G_46G_7(_\`
MH;46'_(1M?\`KJG\Q1<_ZBT_ZY'_`-#:BP_Y"-K_`-=4_F*.@OLLKU8?_D'0
M_P#763^257JP_P#R#H?^NLG\DH&^A7JQ?_\`(1NO^NK_`,S5>K%__P`A&Z_Z
MZO\`S-'4?4$_Y!TW_76/^3U7JPG_`"#IO^NL?\GJO0@74L7O^O7_`*Y1?^@+
M1;?ZB[_ZY#_T-:+W_7K_`-<HO_0%HMO]1=_]<A_Z&M'0G[**]6+G_46G_7(_
M^AM5>K%S_J+3_KD?_0VH8WN@LO\`7M_URE_]`:J]6++_`%[?]<I?_0&JO1U#
MJ6'_`.0=#_UUD_DE5ZL/_P`@Z'_KK)_)*KT(([&QXL_Y'+7/^PA/_P"C&K'K
M8\6?\CEKG_80G_\`1C5CU3W(H?PH^B"K%S_J+3_KD?\`T-JKU8N?]1:?]<C_
M`.AM4LM[H+#_`)"-K_UU3^8JO5BP_P"0C:_]=4_F*KT=0ZEA_P#D'0_]=9/Y
M)5>K#_\`(.A_ZZR?R2J]"".Q8O\`_D(W7_75_P"9H3_D'3?]=8_Y/1?_`/(1
MNO\`KJ_\S0G_`"#IO^NL?\GHZ"^RBO5B]_UZ_P#7*+_T!:KU8O?]>O\`URB_
M]`6CJ5U"V_U%W_UR'_H:U7JQ;?ZB[_ZY#_T-:KT(%NRQ<_ZBT_ZY'_T-J++_
M`%[?]<I?_0&HN?\`46G_`%R/_H;467^O;_KE+_Z`U'0G[+*]6'_Y!T/_`%UD
M_DE5ZL/_`,@Z'_KK)_)*!OH%A_R$;7_KJG\Q5>K%A_R$;7_KJG\Q5>CJ'4L)
M_P`@Z;_KK'_)ZKU83_D'3?\`76/^3U7H0UU+%_\`\A&Z_P"NK_S-%M_J+O\`
MZY#_`-#6B_\`^0C=?]=7_F:+;_47?_7(?^AK1T)^RBO5B]_UZ_\`7*+_`-`6
MJ]6+W_7K_P!<HO\`T!:.I74++_7M_P!<I?\`T!JKU8LO]>W_`%RE_P#0&JO1
MU%U+%S_J+3_KD?\`T-J+#_D(VO\`UU3^8HN?]1:?]<C_`.AM18?\A&U_ZZI_
M,4=!?997JP__`"#H?^NLG\DJO5A_^0=#_P!=9/Y)0-]"O5B__P"0C=?]=7_F
M:KU8O_\`D(W7_75_YFCJ/J"?\@Z;_KK'_)ZKU83_`)!TW_76/^3U7H0+J6+W
M_7K_`-<HO_0%HMO]1=_]<A_Z&M%[_KU_ZY1?^@+1;?ZB[_ZY#_T-:.A/V45Z
ML7/^HM/^N1_]#:J]6+G_`%%I_P!<C_Z&U#&]T%E_KV_ZY2_^@-5>K%E_KV_Z
MY2_^@-5>CJ'4L/\`\@Z'_KK)_)*+#_D(VO\`UU3^8H?_`)!T/_763^246'_(
M1M?^NJ?S%'07V65ZL)_R#IO^NL?\GJO5A/\`D'3?]=8_Y/0QO8KU8O\`_D(W
M7_75_P"9JO5B_P#^0C=?]=7_`)FCJ/J%M_J+O_KD/_0UJO5BV_U%W_UR'_H:
MU7H0+J6+W_7K_P!<HO\`T!:++_7M_P!<I?\`T!J+W_7K_P!<HO\`T!:++_7M
M_P!<I?\`T!J.A/V2O5BY_P!1:?\`7(_^AM5>K%S_`*BT_P"N1_\`0VH&^@6'
M_(1M?^NJ?S%5ZL6'_(1M?^NJ?S%5Z.H=2P__`"#H?^NLG\DJO5A_^0=#_P!=
M9/Y)5>A!'8L7_P#R$;K_`*ZO_,T)_P`@Z;_KK'_)Z+__`)"-U_UU?^9H3_D'
M3?\`76/^3T=!?917JQ>_Z]?^N47_`*`M5ZL7O^O7_KE%_P"@+1U*ZA;?ZB[_
M`.N0_P#0UJO5BV_U%W_UR'_H:U7H0+=EBY_U%I_UR/\`Z&U%E_KV_P"N4O\`
MZ`U%S_J+3_KD?_0VHLO]>W_7*7_T!J.A/V65ZL/_`,@Z'_KK)_)*KU8?_D'0
M_P#763^24#?0+#_D(VO_`%U3^8JO5BP_Y"-K_P!=4_F*KT=0ZEA/^0=-_P!=
M8_Y/5>K"?\@Z;_KK'_)ZKT(:ZEB__P"0C=?]=7_F:+;_`%%W_P!<A_Z&M%__
M`,A&Z_ZZO_,T6W^HN_\`KD/_`$-:.A/V45ZL7O\`KU_ZY1?^@+5>K%[_`*]?
M^N47_H"T=2NH67^O;_KE+_Z`U5ZL67^O;_KE+_Z`U5Z.HNI8N?\`46G_`%R/
M_H;46'_(1M?^NJ?S%%S_`*BT_P"N1_\`0VHL/^0C:_\`75/YBCH+[+*]6'_Y
M!T/_`%UD_DE5ZL/_`,@Z'_KK)_)*!OH5ZL7_`/R$;K_KJ_\`,U7JQ?\`_(1N
MO^NK_P`S1U'U!/\`D'3?]=8_Y/5>K"?\@Z;_`*ZQ_P`GJO0@74L7O^O7_KE%
M_P"@+1;?ZB[_`.N0_P#0UHO?]>O_`%RB_P#0%HMO]1=_]<A_Z&M'0G[**]6+
MG_46G_7(_P#H;57JQ<_ZBT_ZY'_T-J&-[H++_7M_URE_]`:J]6++_7M_URE_
M]`:J]'4.I8?_`)!T/_763^257JP__(.A_P"NLG\DJO0@CL;'BS_D<M<_["$_
M_HQJQZV/%G_(Y:Y_V$)__1C5CU3W(H?PH^B"K%S_`*BT_P"N1_\`0VJO5BY_
MU%I_UR/_`*&U2RWN@L/^0C:_]=4_F*KU8L/^0C:_]=4_F*KT=0ZEA_\`D'0_
M]=9/Y)5>K#_\@Z'_`*ZR?R2J]"".Q8O_`/D(W7_75_YFA/\`D'3?]=8_Y/1?
M_P#(1NO^NK_S-"?\@Z;_`*ZQ_P`GHZ"^RBO5B]_UZ_\`7*+_`-`6J]6+W_7K
M_P!<HO\`T!:.I74+;_47?_7(?^AK5>K%M_J+O_KD/_0UJO0@6[+%S_J+3_KD
M?_0VHLO]>W_7*7_T!J+G_46G_7(_^AM19?Z]O^N4O_H#4="?LLKU8?\`Y!T/
M_763^257JP__`"#H?^NLG\DH&^@6'_(1M?\`KJG\Q5>K%A_R$;7_`*ZI_,57
MHZAU+"?\@Z;_`*ZQ_P`GJO5A/^0=-_UUC_D]5Z$-=2Q?_P#(1NO^NK_S-%M_
MJ+O_`*Y#_P!#6B__`.0C=?\`75_YFBV_U%W_`-<A_P"AK1T)^RBO5B]_UZ_]
M<HO_`$!:KU8O?]>O_7*+_P!`6CJ5U"R_U[?]<I?_`$!JKU8LO]>W_7*7_P!`
M:J]'474L7/\`J+3_`*Y'_P!#:BP_Y"-K_P!=4_F*+G_46G_7(_\`H;46'_(1
MM?\`KJG\Q1T%]EE>K#_\@Z'_`*ZR?R2J]6'_`.0=#_UUD_DE`WT*]6+_`/Y"
M-U_UU?\`F:KU8O\`_D(W7_75_P"9HZCZ@G_(.F_ZZQ_R>J]6$_Y!TW_76/\`
MD]5Z$"ZEB]_UZ_\`7*+_`-`6BV_U%W_UR'_H:T7O^O7_`*Y1?^@+1;?ZB[_Z
MY#_T-:.A/V45ZL7/^HM/^N1_]#:J]6+G_46G_7(_^AM0QO=!9?Z]O^N4O_H#
M57JQ9?Z]O^N4O_H#57HZAU+#_P#(.A_ZZR?R2BP_Y"-K_P!=4_F*'_Y!T/\`
MUUD_DE%A_P`A&U_ZZI_,4=!?997JPG_(.F_ZZQ_R>J]6$_Y!TW_76/\`D]#&
M]BO5B_\`^0C=?]=7_F:KU8O_`/D(W7_75_YFCJ/J%M_J+O\`ZY#_`-#6J]6+
M;_47?_7(?^AK5>A`NI8O?]>O_7*+_P!`6BR_U[?]<I?_`$!J+W_7K_URB_\`
M0%HLO]>W_7*7_P!`:CH3]DKU8N?]1:?]<C_Z&U5ZL7/^HM/^N1_]#:@;Z!8?
M\A&U_P"NJ?S%5ZL6'_(1M?\`KJG\Q5>CJ'4L/_R#H?\`KK)_)*KU8?\`Y!T/
M_763^257H01V+%__`,A&Z_ZZO_,T)_R#IO\`KK'_`">B_P#^0C=?]=7_`)FA
M/^0=-_UUC_D]'07V45ZL7O\`KU_ZY1?^@+5>K%[_`*]?^N47_H"T=2NH6W^H
MN_\`KD/_`$-:KU8MO]1=_P#7(?\`H:U7H0+=EBY_U%I_UR/_`*&U%E_KV_ZY
M2_\`H#47/^HM/^N1_P#0VHLO]>W_`%RE_P#0&HZ$_997JP__`"#H?^NLG\DJ
MO5A_^0=#_P!=9/Y)0-]`L/\`D(VO_75/YBJ]6+#_`)"-K_UU3^8JO1U#J6$_
MY!TW_76/^3U7JPG_`"#IO^NL?\GJO0AKJ6+_`/Y"-U_UU?\`F:+;_47?_7(?
M^AK1?_\`(1NO^NK_`,S1;?ZB[_ZY#_T-:.A/V45ZL7O^O7_KE%_Z`M5ZL7O^
MO7_KE%_Z`M'4KJ%E_KV_ZY2_^@-5>K%E_KV_ZY2_^@-5>CJ+J6+G_46G_7(_
M^AM18?\`(1M?^NJ?S%%S_J+3_KD?_0VHL/\`D(VO_75/YBCH+[+*]6'_`.0=
M#_UUD_DE5ZL/_P`@Z'_KK)_)*!OH5ZL7_P#R$;K_`*ZO_,U7JQ?_`/(1NO\`
MKJ_\S1U'U!/^0=-_UUC_`)/5>K"?\@Z;_KK'_)ZKT(%U+%[_`*]?^N47_H"T
M6W^HN_\`KD/_`$-:+W_7K_URB_\`0%HMO]1=_P#7(?\`H:T="?LHKU8N?]1:
M?]<C_P"AM5>K%S_J+3_KD?\`T-J&-[H++_7M_P!<I?\`T!JKU8LO]>W_`%RE
M_P#0&JO1U#J6'_Y!T/\`UUD_DE5ZL/\`\@Z'_KK)_)*KT(([&QXL_P"1RUS_
M`+"$_P#Z,:L>O6M<^#GB+4O$&I7\-WI@BN;J69`\L@8*S$C.$ZX-4/\`A1_B
M?_G\TK_O[)_\15-'GT<PPT:<4Y=#S2K%S_J+3_KD?_0VKT/_`(4?XG_Y_-*_
M[^R?_&ZEE^"?B5XX%%WI>8T*G,LG7<Q_N>])IEO,<-I[YYO8?\A&U_ZZI_,5
M7KU"V^"?B6&[AE:[TLJCJQQ+)G`.?[E1?\*/\3_\_FE?]_9/_C=%G</[1PU_
MC//'_P"0=#_UUD_DE5Z]0;X)^)3:1Q"[TO<KLQ_>R8P0H_N>QJ+_`(4?XG_Y
M_-*_[^R?_&Z$F"S'#6^,\\O_`/D(W7_75_YFA/\`D'3?]=8_Y/7I%S\$_$LU
MW-*MWI>UW9AF63."<_W*0?!3Q.+9X?M6E?,ZMGSI.,`C_GG[T6=@_M'#6^,\
MPJQ>_P"O7_KE%_Z`M>A_\*/\3_\`/YI7_?V3_P"-U+<?!/Q++*&6[TO`1%YE
MDZA0#_![46=Q_P!HX:_QGF]M_J+O_KD/_0UJO7J$7P3\2QQ3J;O2\R(%&)9.
MNY3_`'/:HO\`A1_B?_G\TK_O[)_\;H28+,<-_.>>7/\`J+3_`*Y'_P!#:BR_
MU[?]<I?_`$!J](E^"?B62.!1=Z7F-"IS+)UW,?[GO1;_``3\2Q2%FN]+(*.O
M$LG4J0/X/>BSL3_:&&M\9Y?5A_\`D'0_]=9/Y)7H?_"C_$__`#^:5_W]D_\`
MC=2M\$_$IM(XA=Z7N5V8_O9,8(4?W/8T68WF.&T]\\WL/^0C:_\`75/YBJ]>
MH6WP3\2PW<,K7>EE4=6.)9,X!S_<J+_A1_B?_G\TK_O[)_\`&Z+.X?VCAK_&
M>>)_R#IO^NL?\GJO7J"_!/Q*+22+[7I>YG5A^]DQ@!A_<]Q47_"C_$__`#^:
M5_W]D_\`C=%F"S'#:^^>>7__`"$;K_KJ_P#,T6_^HN_^N0_]#6O2+GX)^)9K
MN:5;O2]KNS#,LF<$Y_N41?!/Q+'%.IN]+S(@48EDZ[E/]SVHL[!_:.&M\9Y?
M5B]_UZ_]<HO_`$!:]#_X4?XG_P"?S2O^_LG_`,;J6X^"?B664,MWI>`B+S+)
MU"@'^#VHL[C_`+1PU_C/-[+_`%[?]<I?_0&JO7J%O\$_$L4A9KO2R"CKQ+)U
M*D#^#WJ+_A1_B?\`Y_-*_P"_LG_QNBSN+^T<-?XSSRY_U%I_UR/_`*&U%A_R
M$;7_`*ZI_,5Z1+\$_$LD<"B[TO,:%3F63KN8_P!SWHMO@GXEANX96N]+*HZL
M<2R9P#G^Y19V%_:&&M\9Y?5A_P#D'0_]=9/Y)7H?_"C_`!/_`,_FE?\`?V3_
M`.-U*WP3\2FTCB%WI>Y79C^]DQ@A1_<]C19C>8X;3WSR^K%__P`A&Z_ZZO\`
MS->A_P#"C_$__/YI7_?V3_XW4MU\$_$LUW-*MWI>UW9AF63."<_W*+.X_P"T
M<-?XSS=/^0=-_P!=8_Y/5>O4%^"?B46DD7VO2]S.K#][)C`##^Y[BHO^%'^)
M_P#G\TK_`+^R?_&Z+,2S'#:^^>>7O^O7_KE%_P"@+1;_`.HN_P#KD/\`T-:]
M(N/@GXEEE#+=Z7@(B\RR=0H!_@]J(O@GXECBG4W>EYD0*,2R==RG^Y[46=@_
MM'#6^,\OJQ<_ZBT_ZY'_`-#:O0_^%'^)_P#G\TK_`+^R?_&ZEE^"?B5XX%%W
MI>8T*G,LG7<Q_N>]#3!YCAM/?/-[+_7M_P!<I?\`T!JKUZA;_!/Q+%(6:[TL
M@HZ\2R=2I`_@]ZB_X4?XG_Y_-*_[^R?_`!NBSN']HX:_QGGC_P#(.A_ZZR?R
M2BP_Y"-K_P!=4_F*](;X)^)3:1Q?:]+W*[,?WLF,$*/[GL:+;X)^)8;N&5KO
M2RJ.K'$LF<`Y_N46=A?VAAK?&>7U83_D'3?]=8_Y/7H?_"C_`!/_`,_FE?\`
M?V3_`.-U*OP3\2BTDB^UZ7N9U8?O9,8`8?W/<4-,;S'#6^,\OJQ?_P#(1NO^
MNK_S->A_\*/\3_\`/YI7_?V3_P"-U+=?!/Q+-=S2K=Z7M=V89EDS@G/]RBSN
M/^T<-?XSS>V_U%W_`-<A_P"AK5>O4(O@GXECBG4W>EYD0*,2R==RG^Y[5%_P
MH_Q/_P`_FE?]_9/_`(W19B68X;7WSSR]_P!>O_7*+_T!:++_`%[?]<I?_0&K
MTBX^"?B664,MWI>`B+S+)U"@'^#VHM_@GXEBE+-=Z7@HZ\2R=2I`_@]Z+.P?
MVCAN6W.>7U8N?]1:?]<C_P"AM7H?_"C_`!/_`,_FE?\`?V3_`.-U++\$_$KQ
MP*+O2\QH5.99.NYC_<]Z+,'F.&T]\\WL/^0C:_\`75/YBJ]>H6WP3\2PW<,K
M7>EE4=6.)9,X!S_<J+_A1_B?_G\TK_O[)_\`&Z+.X?VCAK_&>>/_`,@Z'_KK
M)_)*KUZ@WP3\2FTCB%WI>Y79C^]DQ@A1_<]C47_"C_$__/YI7_?V3_XW0DP6
M8X:WQGGE_P#\A&Z_ZZO_`#-"?\@Z;_KK'_)Z](N?@GXEFNYI5N]+VN[,,RR9
MP3G^Y0OP3\2BTDB^UZ7N9U8?O9,8`8?W/<46=@_M'#6^,\OJQ>_Z]?\`KE%_
MZ`M>A_\`"C_$_P#S^:5_W]D_^-U+<?!/Q++*&6[TO`1%YEDZA0#_``>U%G<?
M]HX:_P`9YO;?ZB[_`.N0_P#0UJO7J$7P3\2QQ3J;O2\R(%&)9.NY3_<]JB_X
M4?XG_P"?S2O^_LG_`,;H28+,<-_.>>7/^HM/^N1_]#:BR_U[?]<I?_0&KTB7
MX)^)9(X%%WI>8T*G,LG7<Q_N>]%O\$_$L4A9KO2R"CKQ+)U*D#^#WHL[$_VA
MAK?&>7U8?_D'0_\`763^25Z'_P`*/\3_`//YI7_?V3_XW4K?!/Q*;2.(7>E[
ME=F/[V3&"%']SV-%F-YCAM/?/-[#_D(VO_75/YBJ]>H6WP3\2PW<,K7>EE4=
M6.)9,X!S_<J+_A1_B?\`Y_-*_P"_LG_QNBSN']HX:_QGGB?\@Z;_`*ZQ_P`G
MJO7J"_!/Q*+22+[7I>YG5A^]DQ@!A_<]Q47_``H_Q/\`\_FE?]_9/_C=%F"S
M'#:^^>>7_P#R$;K_`*ZO_,T6_P#J+O\`ZY#_`-#6O2+GX)^)9KN:5;O2]KNS
M#,LF<$Y_N41?!/Q+'%.IN]+S(@48EDZ[E/\`<]J+.P?VCAK?&>7U8O?]>O\`
MURB_]`6O0_\`A1_B?_G\TK_O[)_\;J6X^"?B664,MWI>`B+S+)U"@'^#VHL[
MC_M'#7^,\WLO]>W_`%RE_P#0&JO7J%O\$_$L4A9KO2R"CKQ+)U*D#^#WJ+_A
M1_B?_G\TK_O[)_\`&Z+.XO[1PU_C//+G_46G_7(_^AM18?\`(1M?^NJ?S%>D
M2_!/Q+)'`HN]+S&A4YEDZ[F/]SWHMO@GXEANX96N]+*HZL<2R9P#G^Y19V%_
M:&&M\9Y?5A_^0=#_`-=9/Y)7H?\`PH_Q/_S^:5_W]D_^-U*WP3\2FTCB%WI>
MY79C^]DQ@A1_<]C19C>8X;3WSR^K%_\`\A&Z_P"NK_S->A_\*/\`$_\`S^:5
M_P!_9/\`XW4MU\$_$LUW-*MWI>UW9AF63."<_P!RBSN/^T<-?XSS=/\`D'3?
M]=8_Y/5>O4%^"?B46DD7VO2]S.K#][)C`##^Y[BHO^%'^)_^?S2O^_LG_P`;
MHLQ+,<-K[YYY>_Z]?^N47_H"T6_^HN_^N0_]#6O2+CX)^)990RW>EX"(O,LG
M4*`?X/:B+X)^)8XIU-WI>9$"C$LG7<I_N>U%G8/[1PUOC/+ZL7/^HM/^N1_]
M#:O0_P#A1_B?_G\TK_O[)_\`&ZEE^"?B5XX%%WI>8T*G,LG7<Q_N>]#3!YCA
MM/?/-[+_`%[?]<I?_0&JO7J%O\$_$L4A9KO2R"CKQ+)U*D#^#WJ+_A1_B?\`
MY_-*_P"_LG_QNBSN']HX:_QGGC_\@Z'_`*ZR?R2J]>H-\$_$IM(XA=Z7N5V8
M_O9,8(4?W/8U%_PH_P`3_P#/YI7_`']D_P#C="3!9CAOYSZ"HHHJCXX****`
M"BBB@`HHHH`****`"BBB@`HHHH`****`"BBB@`HHHH`****`"BBB@`HHHH`*
M***`"BBB@`HHHH`****`"BBB@`HHHH`****`"BBB@`HHHH`****`"BBB@`HH
MHH`****`"BBB@`HHHH`****`"BBB@`HHHH`****`"BBB@`HHHH`****`"BBB
M@`HHHH`****`"BBB@`HHHH`****`"BBB@`HHHH`****`"BBB@`HHHH`****`
#/__9
`
end
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>GRAPHIC
<SEQUENCE>3
<FILENAME>c54390_ncsrsx2x1.jpg
<DESCRIPTION>GRAPHIC
<TEXT>
begin 644 c54390_ncsrsx2x1.jpg
M_]C_X``02D9)1@`!`0```0`!``#_VP!#``$!`0$!`0$!`0$!`0$!`0$!`0$!
M`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0'_
MVP!#`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!
M`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0'_P``1"`!+`$<#`2(``A$!`Q$!_\0`
M'P```04!`0$!`0$```````````$"`P0%!@<("0H+_\0`M1```@$#`P($`P4%
M!`0```%]`0(#``01!1(A,4$&$U%A!R)Q%#*!D:$((T*QP152T?`D,V)R@@D*
M%A<8&1HE)B<H*2HT-38W.#DZ0T1%1D=(24I35%565UA96F-D969G:&EJ<W1U
M=G=X>7J#A(6&AXB)BI*3E)66EYB9FJ*CI*6FIZBIJK*SM+6VM[BYNL+#Q,7&
MQ\C)RM+3U-76U]C9VN'BX^3EYN?HZ>KQ\O/T]?;W^/GZ_\0`'P$``P$!`0$!
M`0$!`0````````$"`P0%!@<("0H+_\0`M1$``@$"!`0#!`<%!`0``0)W``$"
M`Q$$!2$Q!A)!40=A<1,B,H$(%$*1H;'!"2,S4O`58G+1"A8D-.$E\1<8&1HF
M)R@I*C4V-S@Y.D-$149'2$E*4U155E=865IC9&5F9VAI:G-T=79W>'EZ@H.$
MA8:'B(F*DI.4E9:7F)F:HJ.DI::GJ*FJLK.TM;:WN+FZPL/$Q<;'R,G*TM/4
MU=;7V-G:XN/DY>;GZ.GJ\O/T]?;W^/GZ_]H`#`,!``(1`Q$`/P#^_BBBB@`H
MK\'O^"MO[9'_``5Y_8_O-;^)?[%W[(/[.GQO_9>^'WPHN_'OQ3^(WQ8^(,>@
M^*/#FJZ1->S:U8Z=X7MOBUX*U?5;&UTF&UN83I_A_4)YYY98HII&41CY9_X)
M&_\`!3C_`(+0_P#!16[^%/QE\?\`[%W[*W@;]B3XA'Q/!??&GP9X\O6\9:=<
MZ)]HLH&M/`>N_&O4O$LT1U>(03QS>%PTL`9XIH599@`?U#T5^%'["_\`P5E\
M;?$G]I']NW]D3]MWPK\,O@I\:?V.=0U'QAIEYX&F\26WA#XA_`6&VN+ZU\?V
M0\7:QJUY)?V]G%')J5OIUY/:!#)-&L*A5;H/^"/G_!2#]HK_`(*<2_M&_&[7
M?A3\//AQ^R!X8^)>L_#S]F?Q%ID'BN7XA_%:VT"^:#5/%NMWVI^(;KP^-&C@
M2+RX=.\/:5,UUJ$$:R2):7!<`_;>BBB@`HHHH`**\`_:H_:-\$?LB_L\?%S]
MI?XDZ;XGU?P'\%_!NH^./%>F^#+'3-3\57FCZ68Q<PZ%I^LZSX>TJ[U%O-7R
M8;[6],MVP=]W'@9_F$_XC4?^"6?_`$0O]O3_`,-;\`/_`*)^@#]]O^"KG_*-
MG]MO_LW/XE?^F&XK\\_^#7;_`)0R_LT?]A+XB_\`J77]?F5\9/\`@[U_X(^?
M'KX6>/?@U\2_V>OV_M6\`_$KPQJOA#Q=I=G\/O@=H]U?Z#K5NUKJ%K!J>F_M
M2VVH6,DT#LJW-G<0SQD[HY%/->;?LC_\'3'_``1%_8>^!?A7]G']G7]F?_@H
M-X4^%'@J75+CP_H>J^#_`(-^*KVT?5[V34+\R:UXB_:LU#5KI9+J5W07%U((
MP=D>U0``"E_P=J_LUZ+X5^*/[&W[3OPQ\6>)?A9\4?VD_&%Q^Q?\7M:\%W"Z
M9/XQ^%GB:*PF>/6KB%H[B^DL[2233$LY'%I<6#>3.K$!J_L2_9,_9Y^'/[*?
M[./P>_9]^%.CP:-X&^%W@;0_#6CP10I%+=M;V<<FH:M>["V^_P!8U"6ZU*]<
MN_[^Y=%;RT0#^+/]M#_@Y#_X('_M_P!A\)=._:>_97_X*'^,[+X(?$.U^*/P
MZCT?0/A5X._LCQI9QPQ0:C=/X7_:RTQ]5A6.",'3]3:YLFY+0$MFOM6V_P"#
MTG_@EA:V\-O%\"OV]?*@B2&,'X7?`%B$B58T!)_:?))"A1EN3U/6@#^P"BOY
M!?\`B-1_X)9_]$+_`&]/_#6?`#_Z)^OZ=_V4OVDO`W[8'[.OPE_::^&>F>*-
M&\!?&7PI;^,?"VF>-;'2],\5V>E7-U=6D4.NV&BZUXBTJUOA):2,\5CK>I0!
M&0BY8E@H!]!T444`?E5_P7#_`.42/[?G_9NWC#^=G7^9+\/_``#\=_BC_P`$
M0-%\'_#SPE\3?&S:[_P4QU?PQHNC>'-)\0ZQ:WNG7GP3^'MQIFCVR6L,MJFC
M/XUO=6O([<M'I<?B*XU.]8)J#7DU?ZLG_!0O]GRX_:N_8G_:3_9QM/&NA?#F
MY^,?PPUOP1#XZ\3PR7'A_P`+OJA@QJVK017-I)+9V_E?O$2Y@8[A^\7FOX9?
M!_\`P9T?M-ZIILMEX`_X*@_!G4='T]I(9K3P?H/Q`N]-LGN29Y8I(-%\9R6M
MN\YE:9XV1&E,C2,&+EB`?D9IUG\6]!_X)Z?\$L(+KX8:S\74\/?MZ?'0M\(O
M$%[<0^&?B8_P_P!8\(:GIWPVFO;EI]&U"+49-/U[0_#^G%=5MI+V]N[+3=*U
M-KN?3KS"_;_\>^./`U_\$?VEOV7/VA_VH=#TS]H./XP?#[1O@7\?["+1OVF/
MV?3-XUM(/'_PX\*^+-$N;G4-?^%5]XCM8=.\&ZOH2^%+S3H[3^P_["L+AKI7
M_6NY_P"#/GXU_P!BPV]Y_P`%3_V=?^$=TK4UMX(+G2O%O]BZ=K-LIE6"&.7Q
MM]AM-3MTF,@B01W<*S%PJB3+=AKG_!F%^U5KEPGC3Q)_P4@^$NL7=O:VUPGB
MO6_!?Q'U"Y@LK")6LYUUR_\`%<TT5K9PHC6T@NEBMXE4Q,B*"`#XK\9_$?X^
M7_\`P7U^!_P.O_$7Q&O/`FE_%CX6^)]%\"3C5[Q-..M_!#1[+Q%<:-872M<V
MVDZJHNGU73K9XM$OM0$MY>V[WOF3UQ_P!MOC%KG_``5C_9*G@N/VL/$7A'1/
MVC/CMX'>_P#COH(TJZ$FJWOB74]<\+^!X+?4]:UK7?AQ9V>FV8E-_>WFD:;,
MEI;"TT>2YAM)ON2Y_P"#/3]H&"R?XG7G_!4SX"PZ=:P/!)\0KG2/&L=E;6R`
MPO#)XLE\:K!!`H)B>-M06-02C*`<5?\`#_\`P9]?M)^.;6+QGX5_X*H_!/QA
M96,-S;0>+/#^E^/?$%K9V[)F\@AUW3O&UW#;PLBYN8DND1E7,BD"@#\4_B/J
M&OW_`/P3^_;/'[;EIK]Q\3K'X^^!;/\`8EUKXQV>H+\:/[53QO?K\6](\"ZM
MXKA7QGJ/PDM/`ZSGQ/9?:;CP5I6OC14MH[7Q#/8J_P#I;?\`!"[_`)1%_L%?
M]D(TC_T\ZW7\6]__`,&>_P`0M5NYK_4_^"IW[*VHWUPP:XO;_2=;O+N=@`H:
M:XN/&LDTK!0%!=V(``S@"O[V?^"=O[.MW^R3^Q+^SA^S;?>-="^(UW\'OAU8
M^$)O'/AF"6VT#Q.UO?7]XNJ:7;S7%W)%:3)>*J*]U.<H6$C`B@#[0HHHH`_*
MK_@N(`?^"2'[?@(R/^&=O&'!^MG7\37_``;C_%+QU_P3-_;8_9K\"?$G69A^
MSA_P5=_9\\->)O`^L78:VTK3_BIHMQJUKI%K<SO++8V=U:Z_9>+/",T4"C4=
M8CUCP/<72P1O`A_N"_X+.>%_$WC;_@EC^W+X3\&^'==\6^*M?^`?BO3=!\,^
M&-(U#7O$&MZC.;3R;#2-&TJWN]1U*]FVMY5K9VTT\F#LC.#7\P/QH_X)O_&;
MXU_\&W/["GQ#\`_#OQ]X9_;5_8/T_0?C-\-?#'_"':[I_P`5H!9>)(SXK\,V
M/A6[T^'7SKL+6.@>+].L9[`SK+X7:.VM)9[Q4E`/!/\`@DS_`,$_/#/_``4H
M_P""7W_!8?\`9UU"SM1XZ;]NSQYXS^#FNRQQ^?X?^*/AGP9HUWX<>*X=HO)M
M-:9I_#VHB25;;[+JC7,\<C6D07P;P1_P5<_:2_:,_P"":7PS_P""&V@V/BZ#
M_@H'XL^-Z?L=^+K^YT_53>:5\!?#EVCZAXFU#4KAH9I+ZTTNWFT75[AM536+
MF+0M2NQ9"PO[5I/VQ_X,_?AI\<?AU^RM^V'/\>_A?\2_A?XN\9_M3OXL%E\3
MO`GBCP'JNN1ZA\-_"!OM9L=/\4Z7I5U>64NI"[A:[MHI;<7,<T/F>9&ZKYG^
MR)^S3XYT#_@ZV_:V^+^H_`3QCHWPIU#X:?$#4_#OQ/O?AAKMA\/+[Q7JVG^#
MQ/?:/XTGT2+PU=>(-0=;U6N+/4I-1N&6Z`=B)A0!^8?_``5W_9J\`_\`!/O]
MJ'_@F[\#?VR/AE\:OB5_P1V^"_PD\,^&+W0_AGJ?B;3/#WB#XJR03CXB>(_$
M]YX=UGPP;WQ9=ZW,NIQ03:_HOC+4/#"2VVC:A+;QRVMQ_23^P!\%/^"-NC_L
MG_M:?M!?\$BYO#L'A?XF_!#Q;H?Q+T+P_P#$7XH^(9]$U#3?".KWVG6GBCP%
M\6_$6M>*_`&OJI<?9I[+1X+^`23VL-W"1<M]#?\`!2S_`(*>_!;]E'Q9??L_
M_M-_\$]_VQOVF_@QX[\&0WUYXY^$?[-NB?'GX)ZR]]YL-[X.\51>)=>\/Z3#
MJUOM&;)_[48B1)6CMPN]?YX_^",?['/Q9;]I[_@I]^V7\%?V3OC9^QA^PI\7
M/@/\2/"?P/\`@A\6?#>L>%?%?B^_U;1)+G3=/T3P-=W-_>R:;IVH1WVIZ?+I
MLVKZ%8S7D&@Z'J=PB)!"`?D!_P`$6M-_X-L;W]E36#_P5HDT1?VF#\5/$<>D
MKJ6J?MK6,Q^'1T[0_P#A'=J?L_7=OX'\LW[:O^]N!_;&0PO6$2P8_P!-S]F?
MPK\&?!7[/OP;\,_L[6$6F?`?3OASX2D^#]E!=>)+V&+X=ZCHMIJGA1XKGQA<
M7?BJ6.?2+VUN$/B&XDU=%E"7Y6X5T7^"?_@A3^VG\.O^"<W['NM_`S]KC_@E
M#_P4.^*_Q-U#XN^*O'%IXD\"_L&6'C_2(O#FLZ7X?L].T^36_B)XA\&:['=V
M]QIEW)+9QZ5)90K+&\-S([R*G]R'[)/[57A7]I_P1I/B'PA\$_CO\%M%;PQH
M>KZ=X?\`C=\-+?X::I8:??(]O::,=$M=:UF/3K_38[98I],+Q10Q!5LWN$@N
M!``?7-%%%`"$!A@@$>])L3`&T8'0>GTIU%`#0B@D@#)&">Y'IFC8O'RCCD4Z
MB@!NU<YVC.<YQS1L7^Z/Y?R_SU]33J*`&[%]/U/^-`10=P4`^O?_`#_(DD=3
*EU%`!1110!__V3\_
`
end
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>GRAPHIC
<SEQUENCE>4
<FILENAME>c54390_ncsrsx3x1.jpg
<DESCRIPTION>GRAPHIC
<TEXT>
begin 644 c54390_ncsrsx3x1.jpg
M_]C_X``02D9)1@`!`0```0`!``#_VP!#``$!`0$!`0$!`0$!`0$!`0$!`0$!
M`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0'_
MVP!#`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0$!
M`0$!`0$!`0$!`0$!`0$!`0$!`0$!`0'_P``1"``N`-@#`2(``A$!`Q$!_\0`
M'P```04!`0$!`0$```````````$"`P0%!@<("0H+_\0`M1```@$#`P($`P4%
M!`0```%]`0(#``01!1(A,4$&$U%A!R)Q%#*!D:$((T*QP152T?`D,V)R@@D*
M%A<8&1HE)B<H*2HT-38W.#DZ0T1%1D=(24I35%565UA96F-D969G:&EJ<W1U
M=G=X>7J#A(6&AXB)BI*3E)66EYB9FJ*CI*6FIZBIJK*SM+6VM[BYNL+#Q,7&
MQ\C)RM+3U-76U]C9VN'BX^3EYN?HZ>KQ\O/T]?;W^/GZ_\0`'P$``P$!`0$!
M`0$!`0````````$"`P0%!@<("0H+_\0`M1$``@$"!`0#!`<%!`0``0)W``$"
M`Q$$!2$Q!A)!40=A<1,B,H$(%$*1H;'!"2,S4O`58G+1"A8D-.$E\1<8&1HF
M)R@I*C4V-S@Y.D-$149'2$E*4U155E=865IC9&5F9VAI:G-T=79W>'EZ@H.$
MA8:'B(F*DI.4E9:7F)F:HJ.DI::GJ*FJLK.TM;:WN+FZPL/$Q<;'R,G*TM/4
MU=;7V-G:XN/DY>;GZ.GJ\O/T]?;W^/GZ_]H`#`,!``(1`Q$`/P#^_BBBOR>^
M">M>/_C%_P`%>_VUO%-_XDU)?A'^QW^SO\`OV5O!7@R/5=070F^*_P`=[73_
M`-J;XR^+Y]",ITYM?N/`\W[.V@MK3(9#I.FV>GV*V[QZS)?`'ZPUQ/Q+^(W@
MGX/?#GQ_\6_B5X@M?"?PY^%O@GQ5\1O'_BF^BNY[+PUX)\$:%?\`B;Q5X@O(
M-/M[R_FM=&T+3+_4;B*RM+J[DBMG2VMYYF2)NVKC?B-X!\,?%;X>^._A=XVT
M]-6\&?$CP;XH\`^+M*D$9CU/PQXPT2^\/:_I[B6.:(I>Z5J-W;,)8I8RLA#Q
MNN5(!O:'KFC>)M$T?Q)X=U2PUSP_X@TO3]<T+6M*NH;[2]8T;5K2&_TS5--O
M;9Y+>\L-0LKB"[L[J"1X;BWFCFB=D=6.I7YH_P#!(G6O&B?L'_"7X0?%"^DU
M#XM?LFZAXY_8U^)UU--)<SWWB']ESQEK/P@T;Q!)>33W,NH1^-O`7AKP=X]L
M]2FF,^HZ?XIM+ZX2">XD@C_2Z@`HHHH`***XS5/B/\/-#\:^%/AKK7CSP9H_
MQ&\=Z?X@U;P/X`U3Q1H>G^-?&6E>$XK2?Q5J?A3PK=WT.N^(=/\`#,.H6$WB
M"]TBPO+;1HKVTDU&2V2YA+@'9T444`%%%%`',>,_&W@SX<>%]9\<?$/Q=X8\
M!^"_#EI]O\0^+_&>OZ5X7\+Z#8^;'!]MUG7]<N['2=+M//FAA^T7UW!#YLL<
M>_>Z@]/7X.?\'-WA_4?$O_!#;]NW3M+6)[FVT3X%^()1-*(4&G>$_P!J'X)>
M*=797((,J:3HUZ\$6,SSK'"I!D!'[$>&O%_AGP+\"_#GCKQWXHT3PQX0\*?"
MO0_$OBSQEXFU:VT;P_H>A:1X4M-0UCQ!KFM:O+:6NFZ78V<$]]?:AJ,MO%;6
M\<D]R\85R`#UNBO-?@_\9/A5^T#\-O"WQA^"/Q`\*?%/X6^-[2[OO"7CWP1K
M%IKWACQ#:V&IWNC7\NF:K8R26UQ]AU?3=0TN]16\RTU"QN[.X2.XMY8U]*H`
M****`"BBB@`HHHH`****`"BBB@`K\U/^"7D&J^(_A1^T5\>]=ETN74OVG?VZ
M/VN_BE:-I<=J5/@7P+\5=1_9C^#4E]?V.K:S9:MJ%Q\#_P!GWX:W4]_:W440
MCGALOL5H]D\(_2NORS_X(V>./`.J?\$E_P!B+QGI.N:-:Z+I_P"S;X5N?B+J
M,\`\,Z9X8^)&@V-U'\=M.UJ+4Y(AH\GA'XHV7CG3=<N=0DB19M,NM0F=(9=]
M`'ZF45_*;\7/^"CWC/\`:8_X*V_\$KO'_P`#O"GQ&N?^"77PW_:`^-?P2U']
MK>V:XTSX(?M)_M4_'']G?XN?"GX?Z+X%\RZBD\;^`OA_XG%]X+\.?$5-.D\*
MZ]\2=:\6Z)HM],VF^'-0UW^K*@#\D_V2=-U#X/\`_!43_@J+\$8;6'3O`GQ?
M\.?L@?MX>#-.M626%?%GQ:\)?$C]FSXRZK/LN9#9RZ]K_P"R=X6U06LT$=S/
M?3:Q?%A8SZ>E?HK\<]!^,'BCX2^.=`^`/Q"\+_"CXQ:GH_V?P%\0_&G@9_B5
MX7\+:R+NUE:_UCP/'K_A=_$%N]C'=VB6W]N62V]Q<PWSK>):M8W/XJ_%?]K#
MPE\.O^"@'_!2_P#:[\$^&M7^*'@__@G%_P`$MM`\&_&=_"AC%AX@^,MCXV^+
MO[1R_!VWUY;2XM)M>\"?#_2+#4_%T\=U?1_#Q/B-*NO:=8W;S17/[`?`_P#:
M!\+_`!7_`&5_A!^U3K]YX>\!>"_B5^S]\/\`]H'6M0U3Q-IW_"*>"_"_C'X<
MZ3\1M2O-1\8WIT[2?^$>\.:3J,T]YXFNS8:=_9MG)JDYM;;?Y8!^?_\`P3Q_
MX*/>.?VP?VQO^"F/[*7BOPCX7TRQ_P"">7BW]GSX5VWCW0]/U/1-0^*OC+QG
MH?Q4L?BCXKN_#EYXG\5VGA7PY-XU^%][<>!/#-OJ^KZCI/AG4+:+7_$6N:H\
MCVGM/_!0;_@J#^S%_P`$UA^S>G[1&IZXE]^T[\;M`^#/@;3/#=OIEU?:7;WM
MUIUMXM^*'B)=5U32(;;X<?#0:YX=E\:W]C-?ZU;CQ%HT.DZ)JL]TT<?X)?\`
M!!']KW]EGQ;_`,%/_P#@L/I^A^,SI_C3]MW]H+3_`(_?LQ:EXFT#7/"-A^T=
M^S[\/]8^+F@+XM^%5YXEL-+?Q39:/KVI>*[X6D$$=[=:6^K:CIUO>Q>'?%@T
M#\_O^#V!_`?CGQQ_P3H\+:5\9?`D7C[P_J'QW\.^)?ASJ7BS2A<>!]%^(EW\
M&/['^(OBG3K6>YU7PGX?N[KPKJ%AJ&KZGIY@U"VTA'L-[:+>I(`?Z`U<]=^$
M?"E_XET;QI?>&/#U[XQ\.Z=J^C^'_%EWHNFW/B70M(U]["77M+T;79K9]4TS
M3M;DTK3)-7L;*Z@MM2?3;![R*9K.W,?\^/[>'_!?+]F_X`_M)?\`!/3X&_`W
M]JS]C7QOX>^/'QUL+3]JWXE/\2_#_C?P=\'?@)'H5A<+JVH>(O!?C:7P_P##
MG6?'5[X@T^]\)^(?&6KWFDZ9I>F/JNJV,WAZ]?68?*_V_/\`@Y__`&./V?\`
MXK_`_P#9^_9'\>?!']I_X@?%#XF^$?#/Q$^+;_%"RL?V9/@)X&U'Q=H&E:]X
ML\8?%/1C<:'XINO[$O=9O[2+PGKEQI&@6NEW&N>(M58Q:;X<\0@']0=%?D?_
M`,$Q?^"J?A']O;]ASQ]^W5\0_#VA?L]?"CP=\4_CGH8UCQ-XGM%T.V^$_P`,
M-5^T:-X_\1ZG>RQ)H5S)X8NK=/$]G>>1';:]INJR:<CZ5<:9)+^&FB?\'EO[
M+%[\/[+Q3>?L]>.)?$<G[66L_#[Q!X5TS6M4FD\#?L:VFI^&XM+_`&JO$FH0
M^"M0T^3Q3J2>*].\+V?P7M+M9;[Q?I^LY\;:?8G0(->`/[.Z*_`GXB?\',__
M``2!^'_CJP\(P?M`^*/B/X=CN+&V\;?&+X3?"/XB^/O@O\+9-5N(K71SXY\=
M:3H7ERIJT\RPVA\$Z?XR:.8-!>K:3@1']C_@)^T9\!OVI?AW9?%K]G'XO_#S
MXV_#;4+VZTN#QE\-?%.D^*]$BU>PCMY=0T2_N=*N;@Z7KNG17EI)J.AZFEIJ
MU@EU;-=V<(N(BX!^='_!?CPQ_P`);_P1M_X*$Z5]N_L_[)^S_K'B?S_LWVOS
M/^$)UW0?&7V'ROM%ML_M/^P?[-^T^8WV+[7]L^SW?D?99OC?Q#\*_#W_``5?
M\3?LB_L/^++S6KG]BG]E3]F/]F+]J']L#2?"WB/4;#0?VA/BQ\2O`AMOV:OV
M:=6UO2;Q-3O/`GA;P_X=\8?&CXMZ1+K-VVK1:S\%`D=MJ<MEXCTS]/?^"M?@
M^[\>_P#!+C_@HEX5T^&6YU/4?V*OVEYM*LX+/3[Z>^U?2OA!XMUC2=/A@U.W
MNK59=0U&PMK*.Z2..^L7G%]I=W8:G;VE[;_F'_P:I?"N;P7_`,$COAS\4-4\
M/:7X>\0_M(_$CQ_\4=3ATW1X-)%SIOA%M(^`'A:^E599[R[;6O#GP8L/%-Q>
MWTQDU'5?$6JZQ%&D6J*\@!V'_!&;PQHG[,7[:/\`P6C_`."=OPWT=/#OP(_9
MJ_:-_9U^/'P9\+6<VHS:!X'T/]M3X#1_$#6_`GA*/5;N\NM,\,^'=9\"226N
MBVDJ:)8ZEJ6K3:9!$U[>!OF?]KW_`(+N?M"P?M$?";4OV+O@KI?B/_@G1\*?
MVX/@O^RO^UQ^V;XQB5M&^*GB_P"(WC:W\%>*/AY^S99WL]B^J^'?AFRZV/&?
MQ0TC3_%5OJWBQ?#=AH\OAOPP+76_B+G_`!;_`&'_`/@IQ^T%_P`%@_\`@H[X
M#\/Q/^SS_P`$W/VPO!_[%NE?&W]IS1[ZQL_BM\0OA!\"?@W<:7XC^!WP$O\`
M3O$%UJ/AWQ9\3?&OQ#^*7@/Q_P"*]9\-P+X3\!:=)J=L\DU_X>TOQO\`>_\`
MP6`_8J\3W7_!'_QM^SK^P/\`"?3-/U_]GF3X#?$CX$_!'P3HK3)JMC^SS\7_
M``-\2KGPAX9TN-+Z\UCQ/J&A^&]9U#3;>:VUK6O&WBQ8K"]^W:OXBGU``'[C
M45_$U^UG_P`'.O[1^B?\,I_M%?!;]A/]K;X5_L2?#WXG>&-)_;W^('Q8^".G
MZ;/XD\3>(=)O+#4/V>OA9KGB.670[$^%;Q=0U*Y\=3ZQX4UC6/&%OX-\-W2>
M$=*OI[7QO^>WB3_@M=^V1_P<%_LP_&W_`()O^!OV1];T+X^_%S]H/X"77PO^
M(O[/]IXPD^%'PJ^!>D?$6'QGKWB#]I3Q=K7B;4KKPIJ7@VX\&:--!XNT\:?X
M=\<'4]02P\,^%-8\*Z=:>+0#_1NHK^*OP!_P6Z\'^,/^"`O[6W@W]LS]K_P-
M\/O^"D/PJ^%?[47[*USX9TKXA6O@K]I3QI\7O#>F:[X+^$/C'1O`EK?:)\0[
MC4-7OM2\+V7C+QUX=TH:1%JFE>+==U.ZT>YMM8TK3.._8=_X.!?VFOV'?V8K
MS]B;_@HI^S%^TS\:_P#@J)\,H?AMI?[,'P2@T'Q;K/Q6_;$^&WQ)TY=2\%WF
MK>._#WA+XB1/XD\`Z3;W>F>*O%D]EXJ\5^+5M;*P?2/$GQ+T?XB"Q`/[A:\9
M^'7P"^&GPK^(GQR^*?@W3-7L_&7[17BOPOXT^*5YJ'BCQ'K>GZEKO@_P1HGP
M]T.71-%U?4[W2/"EI#X<T"Q2YL/#=EIEI?Z@UUJ5[%/=SM(/PU\!_P#!T=_P
M2HU+X8PZY\8O'WQ0^`'Q[TJWM]+\>?LE^-O@?\8]4^-7A?XADBTNO`6G)H7@
M*X\,^)+J;5E:TT?4UUG2%DM9K"Y\46'@^^N+G2;'S+]CC_@Y]_9A^._[5GQU
M_9W_`&KOA_+_`,$W--\!VGA.3X4ZA^V%XQD^'7CCQO=:PMU>:O9_$GP_KGA3
M1_!7P8U"VT2Z\-ZYIMAKOQ&U2WO]-U5+FPU?5(IB]F`?T^T5Y_\`#;XM?"OX
MR^'8_&'P?^)GP^^*WA*:4PP^*/AMXS\.>.O#LLP4.8H];\+ZEJFF/*$96,:W
M18*P8C!!KYP;_@H5^QS<?M.^$?V-?#GQR\,>/_VE/%UEK6K'X7_"^WUGXG:G
MX+T+0-&N]:U+7_BKJG@/3?$'A[X2Z.D-O9V5M=_$?5_#)O\`4]>\-V5E'</K
MNGM,`?9]%%%`!7X]^(_^"#?_``3"\6>//%/C+6O@-XA?P_XW^(DOQ9\6_`[3
M?C9\;=`_9G\0?$:X>UFO/%&J?LZ>'_B!I?PANY[^[LK>[U+2I?";>']2D5H+
M[2+BRDDM6_82B@#YD_:`_8[_`&=OVE_V=-:_96^)_P`-]#?X+ZCHVEZ3HOAK
MPK:V_A!_A[<>&S#-X,\1?#&[T&&S;P%XF\!W]K9:GX,U?P]':2:'>64"P1O9
MF>TF_,;2/^"2'[7B:?\`\*K\5?\`!;?_`(*`^)/V:1J+2GP)9Z5\%?#7Q^O=
M#CMDM+7P[J?[8NG^#)OC/);2VT8M]8O-*?1KO4(I)[FS;2=7D&JI^ZE%`'RO
M\*?V*OV9_@K^S-JO[(/P]^%VD:9\!?$GA;QIX3\9^$K^XU#7KSX@6GQ)L-0T
M_P"(VK_$+Q)KEUJ'B+QOXI\>0ZKJ+^+/$_B74M2UK6I;M_M5VT4<$47Y(?!;
M_@W]\-^$=`T/X&_M!_MW?M<_M5_L/_#74[";X,_L3>.?$.G>#/A-HWA_1;Q[
MKPWX,^,.L^"VM/%7QU\'>%@MG%H7@O6;[PSX!BCLH+?4/"&HZ='!80?T+T4`
M?&O[4_\`P3U_8J_;7^&WAGX2?M._LY?#KXH>!?`\45OX!L)K&^\)ZS\.[:&U
MM+%+7X<^,?`M_P"&/&?P^M39:?I]G+:^#?$&AV\]KI^GV\\<D-C:)#Q'P)_X
M)3_\$W?V:_`.M_#/X._L4?L[>'O!_BBR&F>+;76_AQH?Q!UCQEI:3P746E>-
M/%GQ&@\6^+O&.EV]U;0W5KIOB;7-5L;2Z3[3;013,\C?H#10!\2>$_\`@FG_
M`,$[?`W@?Q%\,_"O["O[(FD?#_Q?<B\\7>#XOV=?A-<:!XLN([V;4+5_%&G7
MOA.Y@\0C3KF=AI,>L+>Q:/;);V.EI9V5K:V\.M<_\$[O^"?U[X=\->$+S]A?
M]CJ[\)^#-3_MOP?X7N?V9/@I/X=\)ZSLCC_M?PUHLO@E]-T+4]D,*?;]+MK6
MZV11KYN$4#[%HH`_"X?\&XO_``2<?XDZOXXN_@3XKO/!NL>-Y_B5)^SD_P`8
M?B99_LNV?CJXN+>[?7K+X':5XCT[PDL"W$#"+PO=177@N*QN)-$3PV-!ALM+
MM?U5TS]E+]ES1;?Q):Z-^S;\`M)M?&7@RP^'/B^VTSX._#RPM_%7P]TJSL=/
MTOP)XDAM?#L4>N>#--L-,TVQL/"^IK=:)9V>GV-M;V,<-I;I'[Y10!Y_X6^$
MWPK\#>"Y_AOX*^&?P_\`!_P[NK2[T^Z\!>%O!GASP_X+N;#4+%-,O[*?PMI.
MFVFAS6E[IL<>GW=M)8M#<V*):3(\"K&,+X/_`+/OP%_9YTG7-`^`/P1^$/P.
MT+Q/KUQXJ\2Z+\'_`(:^#/AGI/B'Q/=PPV]UXCUS3O!>BZ)9ZMKUS;V]O!<:
MQ?PW&H30P0Q27#)$BKZ[10!Y'^T!\)X?CS\!_C9\#;CQ+JO@N#XS_"/XD?">
M;QCH-O97>N>$X?B+X-UGPA)XET:UU*.;3KG5="36&U33K?4(9;*:\M88[J-X
M&D4\W^RG^SKX,_9'_9J^!7[,7P]DFN?!_P`"?A;X,^&6CZE=01VU]KJ^%=$M
M-,O?$NJ00O)#'K'B?4H;SQ#K`A=HCJFIW9B.PJ*^@**`"BBB@#DO'?@'P)\4
MO"&O?#[XF^"O"7Q&\!>*K(Z;XG\$>._#FC^+O"'B/3C+'.=/U[PUX@L]0T;6
M+(SPPS&UU"RN(#+%'(8]\:D<-\%?V<?V>OV;-"U'PO\`LZ_`?X,_`/PSK%^N
MJ:OX=^"OPO\`!'PLT+5=32-HDU'4=(\#:'H6GWU^D3-$MY<V\MPL;,@D"DBO
M9J*`/FJ__8P_8\U7XN?\+_U3]D_]FK4OCP-1M-7'QLO_`(%?"Z\^+G]K6$L,
MUCJ?_"R+CPM)XR_M&RFM[>6TO?[9^TV\L$,D,J-$A7Z#FT;2+C4[36KC2M-G
MUC3X9K>PU::QM9=3LK>Y!6X@M+]XFNK:&=699HH9424,0ZL":TJ*`,A_#^@R
M:S%XBDT32'\006QLX==?3;-M9AM")`;6+4S";V.V(FE!@2<1$2R`K\[9^:_B
M)^PE^Q%\7KSQAJ/Q6_8[_9;^).I_$'6(/$7CO5/'?P`^%/BO5?&7B*UTZPTB
MT\0^*-3USPG?7^NZ_9Z7I6EZ=9ZUJ5Q<ZG:66F:=;6UU%#8VJ1?5=%`'X2^,
MO^#9W_@A[XZ\1W_BG6?V$?#=AJ6I3+/=VG@WXR?M'_#SPX"L/DK'8>$/`7QB
M\-^%-&AP%D:+1=%TY'F3S)`YDF\S],OV6_V'_P!D7]B;PO=^$/V4?V>/A;\#
M-'U*1Y=:F\#>&;2S\0>(Y&G:='\4^+[O[9XM\4M;,PCLCXBUO4S86L<%G9?9
/[2V@@C^J**`"BBB@#__9
`
end
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>GRAPHIC
<SEQUENCE>5
<FILENAME>c54390_ncsrsx3x2.jpg
<DESCRIPTION>GRAPHIC
<TEXT>
begin 644 c54390_ncsrsx3x2.jpg
M_]C_X``02D9)1@`!`0$`2`!(``#_VP!#``$!`0$!`0$!`0$!`0$!`0$!`0$!
M`0$!`0$!`0$"`0$!`0$!`@("`@("`@("`@("`@("`@("`@("`@("`@("`@+_
MVP!#`0$!`0$!`0("`@("`@("`@("`@("`@("`@("`@("`@("`@("`@("`@("
M`@("`@("`@("`@("`@("`@("`@("`@+_P``1"``R`)X#`1$``A$!`Q$!_\0`
M'P`!``("`@,!`0````````````<)"`H$!0$&"P(#_\0`+A````8"`@$$`@`%
M!0```````@,$!08'`0@`"1,1$A05"B$6%R(C)!@Q,S1#_\0`%`$!````````
M`````````````/_$`!01`0````````````````````#_V@`,`P$``A$#$0`_
M`-_C@.!4YN9W,Z<:<6(YZ\JU-F7UN)@^.-\5T]U^K:53N[IDYS%A#(XU]8GR
MG3M):$:,8%*IP,<O&E)]^/8<K#A((($BS_\`D&[)8)GA$>T'Z[((O]5L=J&S
MFNQ]M+[)1&@R-,794@A3M'(LF&/'CS\=KS\E/D9I:KVFE>/(9*Z?[CWP\[.V
MAH#N<P4H3M-5M*PS8IKL#6MXE"RH;2IJ92Y;`RG57#IQY7J'R!`Z(PEK6)<O
M=B%258F<FQS.3#&64%I/`<!P'`<!P'`<!P'`<!P'`<!P'`C*Z6V?O%06@U55
M8#%5%EN,`EJ*!6?)XXGE\=KV7*6,\I@FCU%U:A(2O3-JG):PU*<H*)-`5D)N
M<EY$'(:O?XW='5Y5$`W\[*+)MIPG,3V/V,D,9K7;795Y8D,YL:C*1<E,077,
M]S>083X:&^8R@]S-^K$JP6G*:&M&><M$A2J1!,&\7Y,>I5=3)IU=T)F52;4[
M96.ZD0R(3!_LF+P'3:L)"Z^Y.ED-J7_)%[<UN29)^E&&Z.K5'V0@?5A=T#D>
MG),"R3K*Z\UFGC'9]U7A;8]G=X]L'=FG.T&RJH@"=OD2AK193P^N*M;`@+"V
M0V.I3,IF=*441\C'^0(A(E"W-36%IO`X3BXM[0A6.CLN1M;8WICEB]Q<5)*)
M`A2)P9-/5+%BG(2RBP!QD0QC%@(<8]<YQC@<W@.`X&"N^79'I_UJ5Y&;-V_L
MQ974=F[\LBT*):X3-IR[RF1H&T3NJ:6]OA;>N\(@IPY,R>N$D28_0<J,#$$.
M0I]AOY/^NFQDA40;0W1WL(W6FY7R`8#7%,1U@@;>85_QF2R;N[X<8S)Q>XL6
M52YL`26$XOWBP:,)60RIUTV/[O\`9.V*QE<HTDU`TPU*5R!H=IZ3:>Q2W8O8
M"75JH_NG'5BKHK),;0N2HD0#2</0!DI_7QF^06/7(7A\!P(SMJZ*?H.&K[%O
M*U*ZIR`->0@<)K:$TCL#BR0T8<B*(/?I0H2IL&#],^,OR>\S./0`19_7`ZVC
M[_I#9BOT%K:]6U7UTULYK%[:BF]9RMFF$;-<VH[P.;8)T9#3BP*4X_0)Z<S(
M3BLY#Y`!]P?4)>X#@.`X%'W=OL59*2J*VZZ]65P?]9?98_.U#5\H3&"&.I:2
M$@\FQ=_R$"403T[>Q1PQ2G)/*$!3\M9\I!Y3FXPO@9_,6AVKR+3*"Z$2FJ8K
M8VLT'KB`UIBO)LU)G1HD+97>42UF=WY/C`<&N`W%"2[GJ\9P<-S]ZO(_*+(N
M!WS'HYI;&J\'4C!J/K0TU<<W#:5->HJ-K,F'+6XT'C4)7"/8;/BJ,&X]<G9.
M+,$<+.1FY$(6<Y"OOI[<BHC).R;5>&*EAU!:A[VR2K=>F54ZN3XGK>"R*J(Q
M8SW3T?<G(PT0&>./SJZ$-+=[Q?4(CRVT&<)TR8`0LRIG9_778ETLQEH:ZZUN
M!RIN4DPFT"*ZEK1+0PF5GI,K"F-\4LYII19_M"8'.,#%@)Q"E.+.%"9066'/
M1O-`[8U++&MI>ZMV$I*>))K64R)8WB-617LI2$FJ8=/86[GM1JI$H\9@53>X
M)!BR(LP)A)H0BQG@=8U7AK-#K(BNJ37<U,LEQIXH6*(:^XLN(%VJ*'QEH#D"
MAKKD]=EZ-2)4)6#,G82C#A.4,[(\@+,&$)[X#@1[9E2U5=47-A%R5E7UM0P]
M4G7'Q"S(9')Y&#EJ/.1)%AK!*4RI((TK.<Y+,R5[P9SGVYQZ\#@&)JOUYJJ0
M+F.-1*M:PK2+2*6+&:)L;-$XPPL4>;#7QX4)6EH*3I$X`E$F&#R$L`?UD0N!
M61^/\UR!IZ:]`"9/A9]LOI+^(/>N--/5*&N4S%UDL?6#-/\`40L'(%:8X&<Y
MS_0,/I^O3@7$<#TRQLSX-?3L54@BQEHXALGS6P)T)S!"1S[#(?F'`F(V3U68
M:LN/Q\.&4F,JL)/-X/[OMX%"M#=#<'L.6-VTO<':#EV/;:*R1.RAAL-:N*U#
MH[YH,*ET&IFC/\9J/:4@LC)&>\(OAN7C`XY86U:,X0P]BZ%D<6F3/V([-T]$
MXY76KNQ6^D]!JU!H''6J(5THJ2A80R:_D6=#(O'R$R!(3)%T?5B-PF)#[S&_
M&3O4WU]`N`UO*V02UJ)NVJ45:Z6LUS*>MY4EJ##ZCB,N@)$M5YK63*(](0>=
MH=%#)E%AX:P*G),F<2U&4K@>G,+"6$?TIOYI)L?8<IJ2AMKJ#MJT(6M<T$BK
MZ#6A$WV8)#6460/"A+'TBG*E8E2BQD"A:B+4(R3`B+,/"/&0\#+O@1;=UT5G
MKI45C7K<DJ;H35U4Q)XFLWE#H9[$S6Q,B7*E1DLL/]9Z@W.`D)$I.!J%BLTE
M*F+,4'%EB"EGJ'K.>;5V7;'=-LI'Q,ED;7,)5<:?5@YF$K5FMVC<8?#5,083
M!$B&`I_F2X`I'(LEB'[1#3A*RDPJ6-Y07\<"N#LX[.];^KK724W5=TI9SYB8
MRNH*<I=.\)")Y<LW*(\;3'X\U8]Z@"`*D9/V[QX!I&A'D:@[R'93I5`:1M55
M-WY;2=0&R-@4-!)#2\)V`MFQML[32Q,#@EVM["9WL%8Z+,T55PV8R0NCL`:H
MH4ER0D(.^SF!;:-.W#>&1[^`B#):ANLKNR6]4<YUCU&J2-]=%8G0=?*Y/#9A
M+6W&]N_]L/A25-+BY],$YB%LK1@6H21M[8R*5*!S2H4:*//"QS;'!P=\!+J+
M2S\C,?7O6&J^C534CUI47"DC9!#*N3WFS+MSK0)?@GK+!O&S;N9$9[0R&.CF
M++FH01M6RR%-\TYO+`>B2)TP@KE??QO.S/1/9CK\N2@@`W&VP>[C>[DLBP_E
M/33K/1LVK-T:)+",VA/GTY*_O"1:N.6.;FO6%M!KTG0&L;>U+%JD8C0WI^O"
MK.PZGHA9,2[!MD:[VKD:N31R45O:L(@K56BU"W2"(IC9_7+K$&%O0)/@,;^6
MK+8'//D6NC6H+.7$-Q@`MZ<+$>!A-V&[N0OKRU.LC:.:1*36)B(&1F.P^M8:
M#W2>Q[&GLD2PZ!PII.R`W!'S'%83A0I\1XDR0"@\E*L/`4D/#5<W]V,_(-O*
M&T_I#8[!U_Z_S3M;52.E8?K77YMP2_92H:/5Q<USN.R+<G85RV/(&IG9LF))
M$K;B'1280K5%-+9A80<!,&UQH37-^TYJG4-/;&Q?7N'SFI(FQ5DS,FL,DL>4
M5,GK^"L:6-0CZQ;:K4TO!:G").$M40<2>`(R\&%JS?)D)89B<!P-=C\@#L)D
M%2T0Y=?VGR1^M_L3W085M;0&GJH3*9'9$!J>3H%"6Q;<>4#1@0VDK#2!:C:5
MBPQ'[%)QSR49\)B<3B`K&:?R6]'^OC4GJWI.BZ3=DK&[,S5$M@*L<'U*\3+5
MVHZKG;A3EEN;HHCQ99+],G1\:'AW:2A_!`\I23'9R"VA>F\0@F&G_P`FV3[$
M5?/QUSJFSV-L-L+:BFMNNC3"!S@Y_NZ90!*U":Y/<NVS@TFF-T+CY"\!Z@E1
MDYN-4(R5@2`_3H1S(X,2]7W+I4K3I4UK3[16KJA06]5>0.9J8E8M$)V<_?>E
M=B62?NZV$JT[+7A7\P<R1G<,MA#LV.@?J%R@@:=?G+2<$80W'M,['LRX-1=8
M+6NF+*H3<%D4!4,WM.(K6TQE51ZPY-`D#O,6HUF/"`Q)XG`U0'"4P`#$X?0D
MP(1@SC`5G;E4=*NS+>*!Z>3EE>V[0'3Y-7NQNU"1Q0+T#+M5>TC4*7.@=>"3
MS\%E.,7CR=$.5S`)?S4:I0K9&@\M.K`6I("5[7ZU;K;)M*IUH9V'7EHF5/I:
M\SN:5&CK.G-C]=E4QE+F)[FDHB557$WC.CBM]7&J7!W"RO21`I<E2AQ+0)UJ
MA4<H"$U?6KVM3W'U=R=]UTJHH?Y"US;KYI-K/KA)1D&8]F?KIZVFOKDE-]O_
M`*A&/`1^@RBR\\"<-:^DW0C7B32>S9#`Y3MG>\Y976-S?83=F7*=F+8D\??4
M1C8],RA7.BA-"-.K3'*$JH+6T(<JTBE0C5".2F9)X%LB=,G1IR$B0@E*E2DE
MITR9.4`E.F3D@P620027C`0``'&`A"'&,!QC&,8].!_?@.`X'C@>>!`6SFM5
M5[<TK+J'N1N=ED,EF69<6XQI[7Q:91"515\3RJ$SV"2MJ$%4UOC&[(T;FUKB
M<^I*M,7Y`'$"-(,#"32+J?K;4&Z[$V@F]\;![E;0SR,-]:H;[VFE;5,IQ`J?
M:!@/0UM!_J$2)*A3J#BP*75263@YR5!\HL$8,4`/#+[;K5Z/[A4>_P!'2.U+
MXI5&].\8?4ME:V6>OJ2VXVZ11](?V\Y@ER,E47@!@R/$H3JT2M,:4,0L%!4E
MIU!(9((DXTB-(D,5J7`Q*F(3F+UOQ_F+1DE8+$K5_$+**\IF<>\SQE%E^[.?
M86`/H'`<K@5!=K6V.IG5O2UL]@<N@=;`VNDE;?R&IE_(B\;'<=L200E+O!*R
M3OYI>'$Y@0.)OW3T7@T29,WI!GB*/4EH$Q@8_P#3QTCZJ:=ZBT4YW/KO5EE;
M?R6-#M*Y;3M.OX?-I]&K)MJ,IA3>!QF0O2(TYO;&DC.&0*=((LL_)2Y:9C)[
MFL$8%D>H?7!HUH63(P:C:T5M2JZ7*%1TED3"A7O$T>"%2OYPF=9.I8H<'G+8
M4;_6F:<+L-B//_42$X_7`D5NTRU":+I=-D6O5O7IOV#>U?V#M=Z.FZ](MA>Y
M>GH-T4V`6WX=!*C,>F#5/RO.=@!>#3!X+![0R5X#@.`X#@.`X#@.`X#@.`X#
M@.!USNZM["TN;X[J0HFIF;UKJYK!A,&!(WMR82M:I&`K`A9P`L`A9P$.19]/
MUC.?UP/G]ZM-]V_DO]QK7N1845D#3UD:)6&%15;/)4QR:)R$N)N),@@]?E,Q
M^/`NDDK<24$DG8LY5`11XE%'U1I)7T>%@?04X'G@.`X#@.`X#@.`X#@.`X#@
M.`X#@.!^1!",(@#"$8!AR$818P((@BQZ""(.?]\9X'JT*@D(K6-M\-KJ&Q6`
MQ!I^1]5%(5'FB*QML^6I&M5_7L;$20E)\IQ@S3/&4'WF#&,7J(6<Y#VO@.`X
$#@?_V3\_
`
end
</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99.CERT
<SEQUENCE>6
<FILENAME>c54390_ex99cert.htm
<TEXT>

<HTML>
<HEAD>
   <TITLE>c54390_ex99cert.htm</TITLE>
</HEAD>

<BODY bgcolor="#ffffff">

<div align="right"><FONT size=2 face="serif">Exhibit 99.CERT</FONT><br>


</div>
<P align="center">
<FONT size=2 face="serif">EXHIBIT ITEM 12 (a)(2) </FONT><BR>
<FONT size=2 face="serif">Exhibit 99.CERT </FONT><BR>
<FONT size=2 face="serif">RULE 30a-2(a) CERTIFICATIONS</FONT></P>
<P align="left">
<FONT size=2 face="serif">I, Brian T. Zino, certify that:</FONT></P>
<TABLE border=0 cellspacing=0 cellpadding=0>
<TR>
	<TD nowrap valign=top>
<FONT size=2 face="serif">1.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
	<TD width=100% colspan=2>
<P align="left"><FONT size=2 face="serif">I have reviewed this report on Form N-CSR of Tri-Continental Corporation;</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
	<TD nowrap valign=top>
<FONT size=2 face="serif">2.</FONT></TD>
	<TD width=100% colspan=2>
<P align="left"><FONT size=2 face="serif">Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which
such statements were made, not misleading with respect to the period covered by this report;</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
	<TD nowrap valign=top>
<FONT size=2 face="serif">3.</FONT></TD>
	<TD width=100% colspan=2>
<P align="left"><FONT size=2 face="serif">Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in
net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
	<TD nowrap valign=top>
<FONT size=2 face="serif">4.</FONT></TD>
	<TD width=100% colspan=2>
<P align="left"><FONT size=2 face="serif">The registrant&#146;s other certifying officers and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of
1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant,
including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(b)</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the
reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(c)</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">Evaluated the effectiveness of the registrant&#146;s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a
date within 90 days prior to the filing date of this report based on such evaluation; and</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(d)</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">Disclosed in this report any change in the registrant&#146;s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially
affected, or is reasonably likely to materially affect, the registrant&#146;s internal control over financial reporting; and</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
	<TD nowrap valign=top>
<FONT size=2 face="serif">5.</FONT></TD>
	<TD width=100% colspan=2>
<P align="left"><FONT size=2 face="serif">The registrant&#146;s other certifying officers and I have disclosed, to the registrant&#146;s auditors and the audit committee of the registrant&#146;s board of directors (or persons performing the
equivalent functions):</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(a)</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">All significant deficiencies and material weaknesses in the design or operation of internal controls over financial reporting which are reasonably likely to adversely affect the registrant&#146;s ability to
record, process, summarize, and report financial information; and</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(b)</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant&#146;s internal control over financial reporting.</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR></TABLE>
<br>
<TABLE width="100%" border=0 cellpadding=0 cellspacing=0>
<TR valign="bottom">
  <TD align=left nowrap><font size=2 face="serif">Date: September 2, 2008</font></TD>
  <TD align=left nowrap>&nbsp;</TD>
</TR>
<TR valign="bottom">
  <TD width=50% align=left nowrap>&nbsp;</TD>
	<TD width=50% align=left nowrap>
<U><FONT size=2 face="serif">/S/ BRIAN T. ZINO</FONT></U>	</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">Brian T. Zino</FONT>	</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">Principal Executive Officer</FONT>	</TD>
</TR>
</TABLE>
<p><BR>
</p>
<HR noshade align="center" width="100%" size=4>



<P align="left" style="page-break-before:always"></P><PAGE>
<br>


<P align="center">
<FONT size=2 face="serif">EXHIBIT ITEM 12 (a)(2) </FONT><BR>
<FONT size=2 face="serif">Exhibit 99.CERT</FONT><FONT size=2 face="serif"> </FONT><BR>
<FONT size=2 face="serif">RULE 30a-2(a) CERTIFICATIONS</FONT></P>
<P align="left">
<FONT size=2 face="serif">I, Lawrence P. Vogel, certify that:</FONT></P>
<TABLE border=0 cellspacing=0 cellpadding=0>
<TR>
	<TD nowrap valign=top>
<FONT size=2 face="serif">1.&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
	<TD width=100% colspan=2>
<P align="left"><FONT size=2 face="serif">I have reviewed this report on Form N-CSR of Tri-Continental Corporation;</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
	<TD nowrap valign=top>
<FONT size=2 face="serif">2.</FONT></TD>
	<TD width=100% colspan=2>
<P align="left"><FONT size=2 face="serif">Based on my knowledge, this report does not contain any untrue statement of a material fact or omit to state a material fact necessary to make the statements made, in light of the circumstances under which
such statements were made, not misleading with respect to the period covered by this report;</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
	<TD nowrap valign=top>
<FONT size=2 face="serif">3.</FONT></TD>
	<TD width=100% colspan=2>
<P align="left"><FONT size=2 face="serif">Based on my knowledge, the financial statements, and other financial information included in this report, fairly present in all material respects the financial condition, results of operations, changes in
net assets, and cash flows (if the financial statements are required to include a statement of cash flows) of the registrant as of, and for, the periods presented in this report;</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
	<TD nowrap valign=top>
<FONT size=2 face="serif">4.</FONT></TD>
	<TD width=100% colspan=2>
<P align="left"><FONT size=2 face="serif">The registrant&#146;s other certifying officers and I are responsible for establishing and maintaining disclosure controls and procedures (as defined in Rule 30a-3(c) under the Investment Company Act of
1940) and internal control over financial reporting (as defined in Rule 30a-3(d) under the Investment Company Act of 1940) for the registrant and have:</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(a)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">Designed such disclosure controls and procedures, or caused such disclosure controls and procedures to be designed under our supervision, to ensure that material information relating to the registrant,
including its consolidated subsidiaries, is made known to us by others within those entities, particularly during the period in which this report is being prepared;</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(b)</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">Designed such internal control over financial reporting, or caused such internal control over financial reporting to be designed under our supervision, to provide reasonable assurance regarding the
reliability of financial reporting and the preparation of financial statements for external purposes in accordance with generally accepted accounting principles;</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(c)</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">Evaluated the effectiveness of the registrant&#146;s disclosure controls and procedures and presented in this report our conclusions about the effectiveness of the disclosure controls and procedures, as of a
date within 90 days prior to the filing date of this report based on such evaluation; and</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(d)</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">Disclosed in this report any change in the registrant&#146;s internal control over financial reporting that occurred during the second fiscal quarter of the period covered by this report that has materially
affected, or is reasonably likely to materially affect, the registrant&#146;s internal control over financial reporting; and</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
	<TD nowrap valign=top>
<FONT size=2 face="serif">5.</FONT></TD>
	<TD width=100% colspan=2>
<P align="left"><FONT size=2 face="serif">The registrant&#146;s other certifying officers and I have disclosed, to the registrant&#146;s auditors and the audit committee of the registrant&#146;s board of directors (or persons performing the
equivalent functions):</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(a)</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">All significant deficiencies and material weaknesses in the design or operation of internal controls over financial reporting which are reasonably likely to adversely affect the registrant&#146;s ability to
record, process, summarize, and report financial information; and</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
<TD>&nbsp;</TD>	<TD nowrap valign=top>
<FONT size=2 face="serif">(b)</FONT></TD>
	<TD width=100%>
<P align="left"><FONT size=2 face="serif">Any fraud, whether or not material, that involves management or other employees who have a significant role in the registrant&#146;s internal control over financial reporting.</FONT></P>
	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR></TABLE>
<br>
<TABLE width="100%" border=0 cellpadding=0 cellspacing=0>
<TR valign="bottom">
	<TD width=45% align=left nowrap>
<FONT size=2 face="serif">Date: September 2, 2008</FONT>	</TD>
	<TD width=5%>&nbsp;	</TD>
	<TD width=50% align=left nowrap>
<U><FONT size=2 face="serif">/S/ LAWRENCE P. VOGEL</FONT></U>	</TD>
</TR>
<TR valign="bottom">
	<TD align=left nowrap>&nbsp;	</TD>
	<TD>&nbsp;	</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">Lawrence P. Vogel</FONT>	</TD>
</TR>
<TR valign="bottom">
	<TD align=left nowrap>&nbsp;	</TD>
	<TD>&nbsp;	</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">Principal Financial Officer</FONT>	</TD>
</TR>
</TABLE>
<p><BR>
</p>
<HR noshade align="center" width="100%" size=4>


</BODY>

</HTML>

</TEXT>
</DOCUMENT>
<DOCUMENT>
<TYPE>EX-99.906CERT
<SEQUENCE>7
<FILENAME>c54390_ex99-906cert.htm
<TEXT>

<HTML>
<HEAD>
   <TITLE>c54390_ex99-906cert.htm</TITLE>
</HEAD>

<BODY bgcolor="#ffffff">


<div align="right"><FONT size=2 face="serif">EX-99.906CERT</FONT><BR>
  <BR>
  <br>


</div>
<P align="center">
<FONT size=2 face="serif">EXHIBIT 12 (b) </FONT><BR>
<FONT size=2 face="serif">EX-99.906CERT</FONT><BR>
<FONT size=2 face="serif">RULE 30a-2(b) CERTIFICATION</FONT></P>
<P align="left">
&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;<FONT size=2 face="serif">Pursuant to Section 906 of the Sarbanes-Oxley Act of 2002 (subsections (a) and (b) of section 1350, chapter 63 of title 18, United States Code), each of the undersigned officers of
Tri-Continental Corporation (the &#147;registrant&#148;), do hereby certify, to such officer&#146;s knowledge, that: </FONT></P>
<TABLE width="100%" border=0 cellpadding=0 cellspacing=0>
<TR>
  <TD nowrap valign=top>&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</TD>
	<TD nowrap valign=top>
<FONT size=2 face="serif">(1)&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT></TD>
	<TD>
<P align="left"><FONT size=2 face="serif">The semi-annual report on Form N-CSR
    of the registrant for the six months ended June 30, 2008 (the &#147;Form N-CSR&#148;) fully complies with the requirements of Section 13(a) or 15(d) of the Securities
Exchange Act of 1934; and</FONT></P>	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR><TR>
  <TD nowrap valign=top>&nbsp;</TD>
	<TD nowrap valign=top>
<FONT size=2 face="serif">(2)</FONT></TD>
	<TD>
<P align="left"><FONT size=2 face="serif">the information contained in the Form N-CSR fairly presents, in all material respects, the financial condition and results of operations of the registrant.</FONT></P>	</TD>
</TR>
<TR><TD colspan=3>&nbsp;</TD></TR></TABLE>
<TABLE width="100%" border=0 cellpadding=0 cellspacing=0>
<TR valign="bottom">
  <TD width="41%" align=left nowrap>&nbsp;</TD>
	<TD width="3%" align=left nowrap>
<FONT size=2 face="serif">By:</FONT>	</TD>
	<TD width="56%" align=left nowrap>
<U><FONT size=2 face="serif">/S/ BRIAN T. ZINO</FONT></U>	</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
	<TD align=left nowrap>&nbsp;	</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">Brian T. Zino</FONT>	</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
	<TD align=left nowrap>&nbsp;	</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">Chief Executive Officer</FONT>	</TD>
</TR>
<TR>
	<TD colspan=3>&nbsp;	</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">Date:&nbsp;&nbsp;&nbsp;&nbsp;&nbsp;</FONT>	</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">September 2, 2008</FONT>	</TD>
</TR>
<TR>
	<TD colspan=3>&nbsp;	</TD>
</TR>
<TR>
	<TD colspan=3>&nbsp;	</TD>
</TR>
<TR>
	<TD colspan=3>&nbsp;	</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">By:</FONT>	</TD>
	<TD align=left nowrap>
<U><FONT size=2 face="serif">/S/ LAWRENCE P. VOGEL</FONT></U>	</TD>
</TR>
<TR valign="bottom">
	<TD align=center>&nbsp;</TD>
    <TD align=center>&nbsp;</TD>
    <TD align=left><font size=2 face="serif">Lawrence P. Vogel</font></TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
	<TD align=left nowrap>&nbsp;	</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">Chief Financial Officer</FONT>	</TD>
</TR>
<TR>
	<TD colspan=3>&nbsp;	</TD>
</TR>
<TR valign="bottom">
  <TD align=left nowrap>&nbsp;</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">Date:</FONT>	</TD>
	<TD align=left nowrap>
<FONT size=2 face="serif">September 2, 2008</FONT>	</TD>
</TR>
</TABLE>
<p><BR>
</p>
<HR noshade align="center" width="100%" size=4>


</BODY>

</HTML>

</TEXT>
</DOCUMENT>
</SEC-DOCUMENT>
-----END PRIVACY-ENHANCED MESSAGE-----
