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<BUSINESS-ADDRESS>
<STREET1>2445 MISSION COLLEGE BLVD
<CITY>SANTA CLARA
<STATE>CA
<ZIP>95054
<PHONE>4087271885
</BUSINESS-ADDRESS>
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<CITY>SANTA CLARA
<STATE>CA
<ZIP>95054
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<FORMER-CONFORMED-NAME>NETERGY NETWORKS INC
<DATE-CHANGED>20000912
</FORMER-COMPANY>
<FORMER-COMPANY>
<FORMER-CONFORMED-NAME>8X8 INC
<DATE-CHANGED>19961023
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<TEXT>
<HTML>
<HEAD>
<TITLE>06222004 424b5 DOC</TITLE>
</HEAD>

<BODY LINK="#0000ff" VLINK="#800080" BGCOLOR="#ffffff">
<font FACE="Times New Roman" SIZE="2">

<TABLE CELLSPACING=0 BORDER=0 CELLPADDING=7 WIDTH=100%>
<TR><TD WIDTH="50%" VALIGN="TOP">
<B><FONT SIZE=2><P>PROSPECTUS SUPPLEMENT</B><BR>
   (To Prospectus dated April 14, 2004)</TD>
<TD WIDTH="50%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">Filed pursuant to Rule 424(b)(5)<BR>
                 Registration No. 333-114133 </P>
</TD>
</TR>
</TABLE>

<P>&nbsp;</P>
<B><FONT SIZE=4><P ALIGN="CENTER">4,800,000 Shares</P>
<P ALIGN="CENTER">Warrants for 1,920,000 Shares</P></FONT>
 <P ALIGN="CENTER"><IMG SRC="logo.gif" WIDTH=180 HEIGHT=72></P>
 <FONT SIZE=5><P ALIGN="CENTER">8X8, INC.</P>
</FONT><FONT SIZE=4><P ALIGN="CENTER">Common Stock</P>
</FONT><P ALIGN="CENTER">See "Risk Factors" beginning on page S-3 for
information you should<BR>
consider before buying our common stock.</P>
</B><FONT SIZE=2><P ALIGN="JUSTIFY">We are offering and selling 4,800,000 shares
of our common stock, par value $0.001 per share, plus warrants to purchase up to
1,920,000 shares of our common stock with this prospectus supplement.</P>
<P ALIGN="JUSTIFY">&nbsp;</P>
</FONT><P><HR WIDTH="21%" SIZE=0></P>
<FONT SIZE=2><P ALIGN="JUSTIFY">You should carefully read this prospectus
supplement and the accompanying prospectus before you invest in our common
stock.</P>
</FONT><P><HR WIDTH="21%" SIZE=0></P>
<FONT SIZE=2><P ALIGN="JUSTIFY">Our common stock is quoted on the Nasdaq
SmallCap Market under the symbol "EGHT." The last reported sale price on
June&nbsp;18, 2004 was $2.38 per share.</P>

<TABLE CELLSPACING=0 BORDER=0 CELLPADDING=7 WIDTH=651>
<TR><TD WIDTH="56%" VALIGN="TOP">
<P>&nbsp;</TD>
<TD WIDTH="19%" VALIGN="TOP">
<U><FONT SIZE=2><P ALIGN="JUSTIFY">Per Share</U></FONT></TD>
<TD WIDTH="25%" VALIGN="TOP">

<FONT SIZE=2><P ALIGN="CENTER">Total(1)
</FONT></TD>
</TR>
<TR><TD WIDTH="56%" VALIGN="MIDDLE">
<FONT SIZE=2><P ALIGN="JUSTIFY">Offering Price</FONT></TD>
<TD WIDTH="19%" VALIGN="MIDDLE">
<FONT SIZE=2><P ALIGN="JUSTIFY">$ 2.50</FONT></TD>
<TD WIDTH="25%" VALIGN="MIDDLE">
<FONT SIZE=2><P>$ 12,000,000</FONT></TD>
</TR>
<TR><TD WIDTH="56%" VALIGN="MIDDLE" HEIGHT=18>
<FONT SIZE=2><P ALIGN="JUSTIFY">Placement Agent Fees (6%)</FONT></TD>
<TD WIDTH="19%" VALIGN="MIDDLE" HEIGHT=18>
<FONT SIZE=2><P ALIGN="JUSTIFY">$ 0.15</FONT></TD>
<TD WIDTH="25%" VALIGN="MIDDLE" HEIGHT=18>
<FONT SIZE=2><P>$ 720,000(2)</FONT></TD>
</TR>
<TR><TD WIDTH="56%" VALIGN="MIDDLE">
<FONT SIZE=2><P ALIGN="JUSTIFY">Proceeds, Before Expenses, to 8x8,
Inc.</FONT></TD>
<TD WIDTH="19%" VALIGN="MIDDLE">
<FONT SIZE=2><P ALIGN="JUSTIFY">$ 2.35</FONT></TD>
<TD WIDTH="25%" VALIGN="MIDDLE">
<FONT SIZE=2><P>$ 11,280,000</FONT></TD>
</TR>
</TABLE>

<FONT SIZE=2><P ALIGN="JUSTIFY">_____________</P><DIR>

<P ALIGN="JUSTIFY">(1)&#9;This table is based on the sale of 4,800,000 shares of
our common stock and does not reflect the proceeds from the exercise of warrants
covering 1,920,000 additional shares in this offering, which have an exercise
price of $3.00 per share. See "Description of Warrants" in this prospectus
supplement.</P>
<P ALIGN="JUSTIFY">(2)&#9;The placement agents listed below will also receive
fees equal to 6% of the gross exercise prices of the warrants covering 1,920,000
additional shares in this offering upon the exercise of such warrants.</P></DIR>

<P ALIGN="JUSTIFY">We have engaged the placement agents listed below to offer
the shares of our common stock and warrants to purchase our common stock as
described in the section entitled "Plan of Distribution." The placement agents
are not required to sell any specific number or dollar amount of our common
stock, but will use their best efforts to sell the shares offered. Because there
is no minimum offering amount required as a condition to closing this offering,
the total offering price, placement agent fees, and net proceeds, after
expenses, to us are not presently determinable and may be substantially less
than the maximum amounts set forth above.</P>
<P ALIGN="JUSTIFY">Delivery of the shares of the common stock will be made on or
about June 23, 2004, against payment in immediately available funds.</P>
</FONT><P><HR WIDTH="21%" SIZE=0></P>
<FONT SIZE=2><P ALIGN="JUSTIFY">Neither the Securities and Exchange Commission
nor any state securities commission has approved or disapproved these securities
or passed upon the accuracy or adequacy of this prospectus. Any representation
to the contrary is a criminal offense.</P>
</FONT><P><HR WIDTH="21%" SIZE=0></P>


<B><FONT SIZE=4><P ALIGN="CENTER">A.G. EDWARDS</P>
</FONT><FONT SIZE=2><P ALIGN="CENTER">&#9;&#9;&#9;&#9;&#9;&#9;</FONT><FONT SIZE=4>GRIFFIN SECURITIES, INC.</P>

</FONT><P ALIGN="CENTER">This prospectus supplement is dated June 21, 2004</P></B>

<BR>
<BR>
<BR>
<HR WIDTH="85%">
<BR>
<BR>
<BR>

<P ALIGN="CENTER">TABLE OF CONTENTS</P>

<U><P ALIGN="CENTER">Prospectus Supplement</P></U>


<TABLE BORDER=0 CELLSPACING=1 CELLPADDING=7 WIDTH=607>
<TR><TD WIDTH="92%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8%" VALIGN="TOP">
<B><U><FONT SIZE=2><P>Page</B></U></FONT></TD>
</TR>
<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Prospectus Supplement Summary</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165333">S-1</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Risk Factors</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165334">S-3</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Note Regarding Forward-Looking Statements</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165335">S-18</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Use of Proceeds</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165336">S-20</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Dilution</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165337">S-20</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Plan of Distribution</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165338">S-21</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Description of Warrants</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#warrants">S-22</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Legal Matters</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#legal">S-22</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Experts</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#experts">S-22</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Where You Can Find More Information</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#more">S-22</A></FONT></TD>
</TR>
</TABLE>


<U><P ALIGN="CENTER">Prospectus</P></U>

<TABLE BORDER=0 CELLSPACING=1 CELLPADDING=7 WIDTH=607>
<TR><TD WIDTH="92%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8%" VALIGN="TOP">
<B><U><FONT SIZE=2><P>Page</B></U></FONT></TD>
</TR>
<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Summary</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165342">1</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Risk Factors</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165343">5</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Note Regarding Forward-Looking Statements</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165344">18</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Ratio of Earnings to Fixed Charges</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165345">18</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Use of Proceeds</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165346">19</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Description of Capital Stock</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165347">20</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Description of the Depositary Shares</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165348">21</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Description of the Debt Securities</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165349">24</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Description of the Warrants</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165350">36</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Plan of Distribution</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165351">38</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Legal Matters</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165352">40</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Experts</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165353">40</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Where You Can Find More Information</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165354">40</A></FONT></TD>
</TR>
</TABLE>




<P ALIGN="JUSTIFY">The purpose of this prospectus supplement is to provide
supplemental information regarding 8x8, Inc. in connection with the offering.
You should read this prospectus supplement, along with the accompanying
prospectus, carefully before you invest. Both documents contain important
information you should consider when making your investment decision. This
prospects supplement may add, update or change information contained in the
accompany prospectus.</P>
<P ALIGN="JUSTIFY">No person has been authorized to give any information or make
any representations in connection with this offering other than those contained
or incorporated by reference in this prospectus supplement and the accompanying
prospectus in connection with the offering described in this prospectus
supplement and the accompanying prospectus, and, if given or made, such
information or representations must not be relied upon as having been authorized
by us. Neither this prospectus supplement nor the accompanying prospectus shall
constitute an offer to sell or a solicitation of an offer to buy offered
securities in any jurisdiction in which it is unlawful for such person to make
such an offering or solicitation. Neither the delivery of this prospectus
supplement or the accompanying prospectus nor any sale made hereunder shall
under any circumstances imply that the information contained or incorporated by
reference in this prospectus supplement or in the accompanying prospectus is
correct as of any date subsequent to the date of this prospectus supplement or
the accompanying prospectus, as the case may be.</P>

<P><A NAME="_Toc75165333"></P>
<B><P ALIGN="CENTER">PROSPECTUS SUPPLEMENT SUMMARY</P>
</B><I><P ALIGN="JUSTIFY">This summary highlights selected information about us.
It may not contain all of the information that may be important to you in
deciding whether to invest in our common stock. You should read this entire
prospectus supplement and the accompanying prospectus, together with the
information incorporated by reference, including the financial data and related
notes, before making an investment decision.</P></I>

<B><P ALIGN="CENTER">8X8, INC.</P>
</B><P ALIGN="JUSTIFY">8x8, Inc., and its subsidiaries ("we," "us," or the
"Company") develop and market communication technology and services for Internet
protocol, or IP, telephony and video applications. We were incorporated in
California in February 1987, and in December 1996 were reincorporated in
Delaware. In August 2000, we changed our name from 8x8, Inc. to Netergy
Networks, Inc. We changed our name back to 8x8, Inc. in July 2001. Our principal
offices are located at 2445 Mission College Blvd., Santa Clara, California 95054
and our telephone number is (408) 727-1885. Our web site is www.8x8.com.</P>
<P ALIGN="JUSTIFY">We offer the Packet8 broadband voice over Internet protocol,
or VoIP, and video communications service, Packet8 Virtual Office service and
videophone equipment and services. The Packet8 voice and video communications
service (Packet8) enables broadband Internet users to add digital voice and
video communications services to their high-speed Internet connection. Customers
can choose a direct-dial phone number from any of the rate centers offered by
the service, and then use an 8x8-supplied terminal adapter to connect any
telephone to a broadband Internet connection and make or receive calls from a
regular telephone number. All Packet8 telephone accounts come with voice mail,
caller ID, call waiting, call waiting caller ID, call forwarding, hold,
line-alternate, 3-way conferencing, web access to account controls, and real-time
online billing. In addition, 8x8 offers a videophone for use with the <FONT
FACE="Times">Packet8 service</FONT>.</P>

<P ALIGN="JUSTIFY">In fiscal 2004, substantially all of our revenues were
generated from the sale, license and provision of VoIP products, services and
technology. Prior to fiscal 2004, we were focused on our VoIP semiconductor
business (through our subsidiary Netergy Microelectronics, Inc.) and hosted iPBx
solutions business (through our subsidiary Centile, Inc.). In late fiscal 2003,
we began to devote more of our resources to the promotion, distribution and
development of the Packet8 voice and video communications service than to our
existing semiconductor business or hosted iPBX solutions business. We completed
several transactions during fiscal 2004 to license and sell technology and
assets of these businesses, including the sale of our hosted iPBX research and
development center in France, the sale and license of our next generation video
semiconductor development effort, and the license of technology and
manufacturing rights for our VoIP semiconductor products to other semiconductor
companies. In addition, during January 2004, we announced the end of life of our
VoIP semiconductor products, and began accepting last time buy orders from
customers. We continue to own the voice and video technology related to the
semiconductor and IP PBX businesses, utilize this technology in the Packet8
service offering, and continue to sell or license this technology when the
opportunity is in our best interest. </P>
<FONT FACE="serif,Times New Roman"><P ALIGN="JUSTIFY">Our fiscal year ends on
March 31 of each calendar year. Each reference to a fiscal year in this
prospectus supplement refers to the fiscal year ending March 31 of the calendar
year indicated (for example, fiscal 2004 refers to the fiscal year ended March
31, 2004).</P>


<B>
<P ALIGN="CENTER">The Offering</P></B>

<TABLE BORDER=0 CELLSPACING=1 CELLPADDING=7 WIDTH=607>
<TR><TD WIDTH="70%" VALIGN="TOP">
<FONT SIZE=2><P>
Shares of common stock being<BR>
offered by us
</P></FONT></TD>
<TD WIDTH="30%" VALIGN="BOTTOM">
<FONT SIZE=2><P>
4,800,000 shares
</P></FONT></TD>
</TR>

<TR><TD WIDTH="70%" VALIGN="TOP">
<FONT SIZE=2><P>
Warrants to purchase shares<BR>
                   of common stock
</P></FONT></TD>
<TD WIDTH="30%" VALIGN="BOTTOM">
<FONT SIZE=2><P>
1,920,000 shares
</P></FONT></TD>
</TR>

<TR><TD WIDTH="70%" VALIGN="TOP">
<FONT SIZE=2><P>
Shares of common stock to be<BR>
outstanding after this offering
</P></FONT></TD>
<TD WIDTH="30%" VALIGN="BOTTOM">
<FONT SIZE=2><P>
43,116,728 shares
</P></FONT></TD>
</TR>

<TR><TD WIDTH="70%" VALIGN="TOP">
<FONT SIZE=2><P>
Use of proceeds
</P></FONT></TD>
<TD WIDTH="30%" VALIGN="BOTTOM">
<FONT SIZE=2>
<P ALIGN="JUSTIFY"> We estimate that the net
proceeds from the sale of common stock will be approximately $11,200,000 and we
intend to use the net proceeds to fund the expansion of our Packet8 voice and
video communication service, to fund working capital and for general corporate
purposes. General corporate purposes may include capital expenditures, and
possible acquisitions or investments. Pending these uses, the net proceeds will
be invested in interest-bearing securities.
</P></FONT></TD>
</TR>

<TR><TD WIDTH="70%" VALIGN="TOP">
<FONT SIZE=2><P>
Risk factors
</P></FONT></TD>
<TD WIDTH="30%" VALIGN="BOTTOM">
<FONT SIZE=2>
<P ALIGN="JUSTIFY">See "Risk Factors"
beginning on page S-3 of this prospectus supplement that you should consider
before making a decision to invest in our common stock.
</P></FONT></TD>
</TR>

<TR><TD WIDTH="70%" VALIGN="TOP">
<FONT SIZE=2><P>
Nasdaq symbol
</P></FONT></TD>
<TD WIDTH="30%" VALIGN="BOTTOM">
<FONT SIZE=2><P>
"EGHT"
</P></FONT></TD>
</TR>
</TABLE>


<P><A NAME="_Toc75165334"></P>
<B><P ALIGN="CENTER">RISK FACTORS</P>
</B><I><P ALIGN="JUSTIFY">Before you invest in our common stock, you should
become aware of various risks, including those described below. You should
carefully consider these risk factors, together with all of the other
information included in this prospectus, including the documents incorporated in
this prospectus by reference, before you decide whether to purchase the
securities. The risks set out below may not be exhaustive.</P>
</I><B><P ALIGN="JUSTIFY">We have a history of losses and we are uncertain as to
our future profitability.</P>
</B><P ALIGN="JUSTIFY">We recorded an operating loss of approximately $3.9
million for the year ended March 31, 2004, and we ended the period with an
accumulated deficit of $152 million. In addition, we recorded operating losses
of $12 million and $10 million for the fiscal years ended March&nbsp;31, 2003
and 2002, respectively. We expect that we will continue to incur operating
losses for the foreseeable future, and such losses may be substantial. We will
need to generate significant revenue growth to achieve an operating profit.
Given our history of fluctuating revenues and operating losses, we cannot be
certain that we will be able to achieve profitability on either a quarterly or
annual basis in the future.</P>
<B><P ALIGN="JUSTIFY">Our stock price has been highly volatile.</P>
</B><P ALIGN="JUSTIFY">The market price of the shares of our common stock has
been and is likely to be highly volatile. It may be significantly affected by
factors such as: </P>

<UL>

<P ALIGN="JUSTIFY"><LI>actual or anticipated fluctuations in our operating
results; </LI></P>
<P ALIGN="JUSTIFY"><LI>announcements of technical innovations; </LI></P>
<P ALIGN="JUSTIFY"><LI>future legislation or regulation of the Internet and or
voice over Internet protocol (VoIP); </LI></P>
<P ALIGN="JUSTIFY"><LI>loss of key personnel; </LI></P>
<P ALIGN="JUSTIFY"><LI>new products or new contracts by us, our competitors or
their customers; and </LI></P>
<P ALIGN="JUSTIFY"><LI>developments with respect to patents or proprietary
rights, general market conditions, changes in financial estimates by securities
analysts, and other factors which could be unrelated to, or outside our
control.</LI></P>
</UL>

<P ALIGN="JUSTIFY">The stock market has from time to time experienced
significant price and volume fluctuations that have particularly affected the
market prices for the common stocks of technology companies and that have often
been unrelated to the operating performance of particular companies. These broad
market fluctuations may adversely affect the market price of our common stock.
In the past, following periods of volatility in the market price of a company's
securities, securities class action litigation has often been initiated against
the issuing company. If our stock price is volatile, we may also be subject to
such litigation. Such litigation could result in substantial costs and a
diversion of management's attention and resources, which would disrupt business
and could cause a decline in our operating results. Any settlement or adverse
determination in such litigation would also subject us to significant
liability.</P>
<B><P ALIGN="JUSTIFY">The growth of our business and our future profitability
depends on future Packet8 revenue.</P>
</B><P ALIGN="JUSTIFY">We continue to devote substantially all of our resources
to the promotion, distribution and development of our Packet8 service rather
than to our semiconductor business. As such, our future growth and profitability
will be dependent on revenue from our Packet8 service, as opposed to revenue
from the semiconductor business, which has historically accounted for a
substantial portion of the Company's consolidated revenues.</P>
<P ALIGN="JUSTIFY">Semiconductor and related software revenues represented
approximately 83% and 88%, respectively, of the Company's consolidated revenues
for fiscal 2004 and 2003. However, these revenues have not been sufficient to
profitably operate the semiconductor business. Therefore, we have reduced the
scope of these operations. During the quarter ended June 30, 2003, we completed
the end-of of- life of our legacy videoconferencing semiconductor products. In
November 2003, we sold the VIP1 video semiconductor development effort to
Leadtek Research, Inc. (Leadtek). Under the terms of the transaction, Leadtek
acquired the VIP1 development activities, key engineers, software tools and
equipment. Revenues attributable to this development effort, prior to the
aforementioned transaction, were $0 and $1.1 million during the fiscal years
ended March 31, 2004 and 2003, respectively, representing approximately 0% and
12% of revenues of the semiconductor business and 0% and 10.5% of 8x8's
consolidated revenues for such periods. As a result of the transfer of this
development effort to Leadtek, this development revenue ceased. In January 2004,
we initiated an end-of-life program for our VoIP telephony semiconductor
products, including the Audacity T2 and T2U products. The semiconductor business
remains a continuing operation and will continue to generate revenue in the
future, although we expect the amounts to decrease, both on an absolute basis
and as percentage of our consolidated revenues. </P>
<P ALIGN="JUSTIFY">Revenues from the hosted iPBX solutions business represented
approximately 3% and 8% of the Company's consolidated revenues for fiscal 2004
and 2003, respectively. In July 2003, we sold our European subsidiary, Centile
Europe S.A., and licensed, on a non-exclusive basis, our iPBX technology to the
purchaser. In March 2004, we announced the Packet8 Virtual Office service, which
includes technologies previously offered as part of the hosted iPBX solutions
business.</P>
<B><P ALIGN="JUSTIFY">We have only been selling our Packet8 service for a
limited period and there is no guarantee that Packet8 will gain broad market
acceptance.</P>
</B><P ALIGN="JUSTIFY">We have only been selling our Packet8 service since
November 2002. Given our limited history with offering this service, there are
many difficulties that we may encounter, including regulatory hurdles, discussed
below, and other problems that we may not anticipate. To date, we have not
generated significant revenue from the sale of our VoIP telephony products and
services, including our Packet8 service, and there is no guarantee that we will
be successful in generating significant revenues or achieving profitability. If
we are not able to generate significant revenues selling into the VoIP telephony
market, our business and operating results would be seriously harmed.</P>
<B><P ALIGN="JUSTIFY">The success of our Packet8 service is dependent on the
growth and public acceptance of VoIP telephony.</P>
</B><P ALIGN="JUSTIFY">The success of our Packet8 voice and video communications
service is dependent upon future demand for VoIP telephony systems and services.
In order for the IP telephony market to continue to grow, several things need to
occur. Telephone and cable service providers must continue to invest in the
deployment of high speed broadband networks to residential and commercial
customers. VoIP networks must improve quality of service for real-time
communications, managing effects such as packet jitter, packet loss, and
unreliable bandwidth, so that toll-quality service can be provided. VoIP
telephony equipment and services must achieve a similar level of reliability
that users of the public switched telephone network have come to expect from
their telephone service. VoIP telephony service providers must offer cost and
feature benefits to their customers that are sufficient to cause the customers
to switch away from traditional telephony service providers. Furthermore, end
users in markets serviced by recently deregulated telecommunications providers
are not familiar with obtaining services from competitors of these providers and
may be reluctant to use new providers, such as us. We will need to devote
substantial resources to educate customers and end users about the benefits of
VoIP telephony solutions in general and our services in particular. If any or
all of these factors fail to occur, our business may not grow. </P>
<B><P ALIGN="JUSTIFY">Our future operating results may not follow past or
expected trends due to many factors and any of these could cause our stock price
to fall.</P>
</B><P ALIGN="JUSTIFY">Our historical operating results have fluctuated
significantly and will likely continue to fluctuate in the future, and a decline
in our operating results could cause our stock price to fall. On an annual and a
quarterly basis, there are a number of factors that may affect our operating
results, many of which are outside our control. These include, but are not
limited to:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>changes in market demand; </LI></P>
<P ALIGN="JUSTIFY"><LI>the timing of customer orders; </LI></P>
<P ALIGN="JUSTIFY"><LI>competitive market conditions; </LI></P>
<P ALIGN="JUSTIFY"><LI>lengthy sales cycles and/or regulatory approval cycles;
</LI></P>
<P ALIGN="JUSTIFY"><LI>new product introductions by us or our competitors;
</LI></P>
<P ALIGN="JUSTIFY"><LI>market acceptance of new or existing products; </LI></P>
<P ALIGN="JUSTIFY"><LI>the cost and availability of components; </LI></P>
<P ALIGN="JUSTIFY"><LI>the mix of our customer base and sales channels;
</LI></P>
<P ALIGN="JUSTIFY"><LI>the mix of products sold; </LI></P>
<P ALIGN="JUSTIFY"><LI>the management of inventory; </LI></P>
<P ALIGN="JUSTIFY"><LI>the level of international sales; </LI></P>
<P ALIGN="JUSTIFY"><LI>continued compliance with industry standards; and
</LI></P>
<P ALIGN="JUSTIFY"><LI>general economic conditions.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Our gross margin is affected by a number of factors including
product mix, the recognition of license and royalty revenues for which there may
be little or no corresponding cost of revenues, product pricing, the allocation
between international and domestic sales, the percentages of direct sales and
sales to resellers, and manufacturing and component costs. In the likely event
that we encounter significant price competition in the markets for our products,
we could be at a significant disadvantage compared to our competitors, many of
whom have substantially greater resources, and therefore may be better able to
withstand an extended period of downward pricing pressure. </P>
<P ALIGN="JUSTIFY">Variations in timing of sales may cause significant
fluctuations in future operating results. Delivery schedules may be deferred or
canceled for a number of reasons, including changes in specific customer
requirements or economic conditions. The adverse impact of a shortfall in our
revenues may be magnified by our inability to adjust spending to compensate for
such shortfall. Announcements by our competitors or us of new products and
technologies could cause customers to defer purchases of our existing products,
which would also have a material adverse effect on our business and operating
results. As a result of these and other factors, it is likely that in some or
all future periods our operating results will be below the expectations of
investors, which would likely result in a significant reduction in the market
price of our common stock.</P>
<B><P ALIGN="JUSTIFY">The VoIP telephony market is subject to rapid
technological change and we depend on new product introduction in order to
maintain and grow our business.</P>
</B><P ALIGN="JUSTIFY">VoIP telephony is an emerging market that is
characterized by rapid changes in customer requirements, frequent introductions
of new and enhanced products, and continuing and rapid technological
advancement. To compete successfully in this emerging market, we must continue
to design, develop, manufacture, and sell new and enhanced VoIP telephony
software products and services that provide increasingly higher levels of
performance and reliability at lower cost. These new and enhanced products must
take advantage of technological advancements and changes, and respond to new
customer requirements. Our success in designing, developing, manufacturing, and
selling such products and services will depend on a variety of factors,
including:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>the identification of market demand for new products;
</LI></P>
<P ALIGN="JUSTIFY"><LI>the scalability of our VoIP telephony software products;
</LI></P>
<P ALIGN="JUSTIFY"><LI>product and feature selection; </LI></P>
<P ALIGN="JUSTIFY"><LI>timely implementation of product design and development;
</LI></P>
<P ALIGN="JUSTIFY"><LI>product performance; </LI></P>
<P ALIGN="JUSTIFY"><LI>cost-effectiveness of products under development;
</LI></P>
<P ALIGN="JUSTIFY"><LI>effective manufacturing processes; and </LI></P>
<P ALIGN="JUSTIFY"><LI>success of promotional efforts.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Additionally, we may also be required to collaborate with
third parties to develop our products and may not be able to do so on a timely
and cost-effective basis, if at all. We have in the past experienced delays in
the development of new products and the enhancement of existing products, and
such delays will likely occur in the future. If we are unable, due to resource
constraints or technological or other reasons, to develop and introduce new or
enhanced products in a timely manner, if such new or enhanced products do not
achieve sufficient market acceptance, or if such new product introductions
decrease demand for existing products, our operating results would decline and
our business would not grow.</P>
<B><P ALIGN="JUSTIFY">The long and variable sales and deployment cycles for our
VoIP telephony products may cause our revenue and operating results to vary.</P>
</B><P ALIGN="JUSTIFY">Our Packet8 service has lengthy sales cycles, and we may
incur substantial sales and marketing expenses and expend significant management
effort without making a sale. A customer's decision to purchase our products
often involves a significant commitment of its resources and a lengthy product
evaluation and qualification process. We do not possess the capital required to
invest in extensive marketing or advertising campaigns that may be required in
order to sell these products. In addition, the length of our sales cycles will
vary depending on the type of customer to whom we are selling and the product
being sold. Even after making the decision to purchase our products, our
customers may deploy our products slowly. Timing of deployment can vary widely
and will depend on various factors, including:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>the size of the network deployment; </LI></P>
<P ALIGN="JUSTIFY"><LI>the complexity of our customers' network environments;
</LI></P>
<P ALIGN="JUSTIFY"><LI>our customers' skill sets; </LI></P>
<P ALIGN="JUSTIFY"><LI>the hardware and software configuration and customization
necessary to deploy our products; and </LI></P>
<P ALIGN="JUSTIFY"><LI>our customers' ability to finance their purchase of our
products.</LI></P>
</UL>

<P ALIGN="JUSTIFY">As a result, it is difficult for us to predict the quarter in
which our customers may purchase our VoIP telephony products, and our revenue
and operating results may vary significantly from quarter to quarter.</P>
<B><P ALIGN="JUSTIFY">Decreasing telecommunications rates may diminish or
eliminate our competitive pricing advantage.</P>
</B><P ALIGN="JUSTIFY">Decreasing telecommunications rates may diminish or
eliminate the competitive pricing advantage of our services. International and
domestic telecommunications rates have decreased significantly over the last few
years in most of the markets in which we operate, and we anticipate that rates
will continue to be reduced in all of the markets in which we do business or
expect to do business. Users who select our services to take advantage of the
current pricing differential between traditional telecommunications rates and
our rates may switch to traditional telecommunications carriers as such pricing
differentials diminish or disappear, and we will be unable to use such pricing
differentials to attract new customers in the future. In addition, our ability
to market our services to other service providers depends upon the existence of
spreads between the rates offered by us and the rates offered by traditional
telecommunications carriers, as well as a spread between the retail and
wholesale rates charged by the carriers from which we obtain wholesale services.
Continued rate decreases will require us to lower our rates to remain
competitive and will reduce or possibly eliminate our gross profit from our
services. If telecommunications rates continue to decline, we may lose users for
our services.</P>
<B><P ALIGN="JUSTIFY">Our success depends on third parties in our distribution
channels.</P>
</B><P ALIGN="JUSTIFY">We currently sell our products direct to consumers and
through resellers, and are focusing efforts on increasing our distribution
channels. Our future revenue growth will depend in large part on sales of our
products through reseller and other distribution relationships. We may not be
successful in developing additional distribution relationships. Agreements with
distribution partners generally provide for one-time and recurring commissions
based on our list prices, and do not require minimum purchases or restrict
development or distribution of competitive products. Therefore, entities that
distribute our products may compete with us. In addition, distributors and
resellers may not dedicate sufficient resources or give sufficient priority to
selling our products. Our failure to develop new distribution channels, the loss
of a distribution relationship or a decline in the efforts of a material
reseller or distributor could have a material adverse effect on our business,
financial condition and results of operations. </P>
<B><P ALIGN="JUSTIFY">We need to retain key personnel to support our products
and ongoing operations. </P>
</B><P ALIGN="JUSTIFY">The development and marketing of our VoIP products will
continue to place a significant strain on our limited personnel, management, and
other resources. Our future success depends upon the continued services of our
executive officers and other key employees who have critical industry experience
and relationships that we rely on to implement our business plan. None of our
officers or key employees are bound by employment agreements for any specific
term. The loss of the services of any of our officers or key employees could
delay the development and introduction of, and negatively impact our ability to
sell our products which could adversely affect our financial results and impair
our growth. We currently do not maintain key person life insurance policies on
any of our employees.</P>
<B><P ALIGN="JUSTIFY">We depend on contract manufacturers to manufacture
substantially all of our products, and any delay or interruption in
manufacturing by these contract manufacturers would result in delayed or reduced
shipments to our customers and may harm our business. </P>
</B><P ALIGN="JUSTIFY">We do not have long-term purchase agreements with our
contract manufacturers or our component suppliers. There can be no assurance
that our subcontract manufacturers will be able or willing to reliably
manufacture our products, in volumes, on a cost-effective basis or in a timely
manner. For our videophones and VoIP terminal adaptors and that are used with
our Packet8 service, we rely on the availability of our semiconductor products.
These devices are also sourced solely from certain overseas contract
manufacturers and partners, and are currently not available from any other
manufacturer.</P>
<B><P ALIGN="JUSTIFY">We rely on third party network service providers to
originate and terminate substantially all of our public switched telephone
network calls.</P>
</B><P ALIGN="JUSTIFY">Our Packet8 service depends on the availability of third
party network service providers that provide telephone numbers and public
switched telephone network (PSTN) call termination and origination services for
our customers. Many of these network service providers have been affected by the
downturn in the telecommunications industry and may be forced to terminate the
services that we depend on. The time to interface our technology to another
network service provider, if available, and qualify this new service could have
a material adverse effect on our business, operating results, and financial
condition. </P>
<P ALIGN="JUSTIFY">While we believe that relations with our current service
provider are good and we have a contract in place, there can be no assurance
that this service provider will be able or willing to supply services to us in
the future or that we will be successful in signing up alternative or additional
providers. While we believe that we could replace our current provider, if
necessary, our ability to provide service to our subscribers would be impacted
during this timeframe, and this could have an adverse effect on our business,
financial condition and results of operations.</P>
<B><P ALIGN="JUSTIFY">We may not be able to manage our inventory levels
effectively, which may lead to inventory obsolescence that would force us to
lower our prices.</P>
</B><P ALIGN="JUSTIFY">Our products have lead times of up to several months, and
are built to forecasts that are necessarily imprecise. Because of our practice
of building our products to necessarily imprecise forecasts, it is likely that,
from time to time, we will have either excess or insufficient product inventory.
Excess inventory levels would subject us to the risk of inventory obsolescence
and the risk that our selling prices may drop below our inventory costs, while
insufficient levels of inventory may negatively affect relations with customers.
For instance, our customers rely upon our ability to meet committed delivery
dates, and any disruption in the supply of our products could result in legal
action from our customers, loss of customers or harm to our ability to attract
new customers. Any of these factors could have a material adverse effect on our
business, operating results, and financial condition.</P>
<B><P ALIGN="JUSTIFY">If our products do not interoperate with our customers'
networks, orders for our products will be delayed or canceled and substantial
product returns could occur, which could harm our business.</P>
</B><P ALIGN="JUSTIFY">Many of the potential customers for our Packet8 service
have requested that our products and services be designed to interoperate with
their existing networks, each of which may have different specifications and use
multiple standards. Our customers' networks may contain multiple generations of
products from different vendors that have been added over time as their networks
have grown and evolved. Our products must interoperate with these products as
well as with future products in order to meet our customers' requirements. In
some cases, we may be required to modify our product designs to achieve a sale,
which may result in a longer sales cycle, increased research and development
expense, and reduced operating margins. If our products do not interoperate with
existing equipment or software in our customers' networks, installations could
be delayed, orders for our products could be canceled or our products could be
returned. This could harm our business, financial condition, and results of
operations. </P>
<B><P ALIGN="JUSTIFY">We may have difficulty identifying the source of the
problem when there is a problem in a network.</P>
</B><P ALIGN="JUSTIFY">Our Packet8 service must successfully integrate with
products from other vendors, such as gateways to traditional telephone systems.
As a result, when problems occur in a network, it may be difficult to identify
the source of the problem. The occurrence of hardware and software errors,
whether caused by our Packet8 service or another vendor's products, may result
in the delay or loss of market acceptance of our products and any necessary
revisions may force us to incur significant expenses. The occurrence of some of
these types of problems may seriously harm our business, financial condition and
results of operations.</P>
<B><P ALIGN="JUSTIFY">Intense competition in the markets in which we compete
could prevent us from increasing or sustaining our revenue and prevent us from
achieving profitability </P>
</B><P ALIGN="JUSTIFY">We expect our competitors to continue to improve the
performance of their current products and introduce new products or new
technologies. If our competitors successfully introduce new products or enhance
their existing products, this could reduce the sales or market acceptance of our
products and services, increase price competition or make our products obsolete.
For instance, our competitors, such as local exchange carriers and cable
television providers, may be able to bundle services and products that we do not
offer together with long distance or VoIP telephony services. These services
could include wireless communications, voice and data services, Internet access
and cable television. This form of bundling would put us at a competitive
disadvantage if these providers can combine a variety of services offerings at a
single attractive price. To be competitive, we must continue to invest
significant resources in research and development, sales and marketing, and
customer support. We may not have sufficient resources to make these investments
or to make the technological advances necessary to be competitive, which in turn
will cause our business to suffer.</P>
<P ALIGN="JUSTIFY">Many of our current and potential competitors have longer
operating histories, are substantially larger, and have greater financial,
manufacturing, marketing, technical, and other resources. Many also have greater
name recognition and a larger installed base of customers than we have.
Competition in our markets may result in significant price reductions. As a
result of their greater resources, many current and potential competitors may be
better able than us to initiate and withstand significant price competition or
downturns in the economy. There can be no assurance that we will be able to
continue to compete effectively, and any failure to do so would harm our
business, operating results, and financial condition.</P>
<B><P ALIGN="JUSTIFY">If we do not develop and maintain successful partnerships
for VoIP telephony products, we may not be able to successfully market our
solutions.</P>
</B><P ALIGN="JUSTIFY">We are entering into new market areas and our success is
partly dependent on our ability to forge new marketing and engineering
partnerships. VoIP telephony communication systems are extremely complex and
few, if any, companies possess all the required technology components needed to
build a complete end to end solution. We will likely need to enter into
partnerships to augment our development programs and to assist us in marketing
complete solutions to our targeted customers. We may not be able to develop such
partnerships in the course of our product development. Even if we do establish
the necessary partnerships, we may not be able to adequately capitalize on these
partnerships to aid in the success of our business.</P>
<B><P ALIGN="JUSTIFY">Inability to protect our proprietary technology or our
infringement of a third party's proprietary technology would disrupt our
business.</P>
</B><P ALIGN="JUSTIFY">We rely in part on trademark, copyright, and trade secret
law to protect our intellectual property in the United States and abroad. We
seek to protect our software, documentation, and other written materials under
trade secret and copyright law, which afford only limited protection. We also
rely in part on patent law to protect our intellectual property in the United
States and internationally. We hold fifty-four United States patents and have a
number of United States and foreign patent applications pending. We cannot
predict whether such pending patent applications will result in issued patents.
We may not be able to protect our proprietary rights in the United States or
internationally (where effective intellectual property protection may be
unavailable or limited), and competitors may independently develop technologies
that are similar or superior to our technology, duplicate our technology or
design around any patent of ours. We have in the past licensed and in the future
expect to continue licensing our technology to others; many of who are located
or may be located abroad. There are no assurances that such licensees will
protect our technology from misappropriation. Moreover, litigation may be
necessary in the future to enforce our intellectual property rights, to
determine the validity and scope of the proprietary rights of others, or to
defend against claims of infringement or invalidity. Such litigation could
result in substantial costs and diversion of management time and resources and
could have a material adverse effect on our business, financial condition, and
operating results. Any settlement or adverse determination in such litigation
would also subject us to significant liability.</P>
<P ALIGN="JUSTIFY">There has been substantial litigation in the semiconductor,
electronics, and related industries regarding intellectual property rights, and
from time to time third parties may claim infringement by us of their
intellectual property rights. Our broad range of technology, including systems,
digital and analog circuits, software, and semiconductors, increases the
likelihood that third parties may claim infringement by us of their intellectual
property rights. If we were found to be infringing on the intellectual property
rights of any third party, we could be subject to liabilities for such
infringement, which could be material. We could also be required to refrain from
using, manufacturing or selling certain products or using certain processes,
either of which could have a material adverse effect on our business and
operating results. From time to time, we have received, and may continue to
receive in the future, notices of claims of infringement, misappropriation or
misuse of other parties' proprietary rights. There can be no assurance that we
will prevail in these discussions and actions or that other actions alleging
infringement by us of third party patents will not be asserted or prosecuted
against us.</P>
<P ALIGN="JUSTIFY">We rely upon certain technology, including hardware and
software, licensed from third parties. There can be no assurance that the
technology licensed by us will continue to provide competitive features and
functionality or that licenses for technology currently utilized by us or other
technology which we may seek to license in the future will be available to us on
commercially reasonable terms or at all. The loss of, or inability to maintain
existing licenses could result in shipment delays or reductions until equivalent
technology or suitable alternative products could be developed, identified,
licensed and integrated, and could harm our business. These licenses are on
standard commercial terms made generally available by the companies providing
the licenses. The cost and terms of these licenses individually are not material
to our business.</P>
<B><P ALIGN="JUSTIFY">The failure of IP networks to meet the reliability and
quality standards required for voice and video communications could render our
products obsolete.</P>
</B><P ALIGN="JUSTIFY">Circuit-switched telephony networks feature very high
reliability, with a guaranteed quality of service. In addition, such networks
have imperceptible delay and consistently satisfactory audio quality. Emerging
broadband IP networks, such as LANs, WANs, and the internet, or emerging last
mile technologies such as cable, digital subscriber lines, and wireless local
loop, may not be suitable for telephony unless such networks and technologies
can provide reliability and quality consistent with these standards. </P>
<B><P ALIGN="JUSTIFY">Our products must comply with industry standards, FCC
regulations, state, country-specific and international regulations, and changes
may require us to modify existing products.</P>
</B><P ALIGN="JUSTIFY">In addition to reliability and quality standards, the
market acceptance of telephony over broadband IP networks is dependent upon the
adoption of industry standards so that products from multiple manufacturers are
able to communicate with each other. Our VoIP telephony products rely heavily on
standards such as SIP, H.323, MGCP and Megaco to interoperate with other
vendors' equipment. There is currently a lack of agreement among industry
leaders about which standard should be used for a particular application, and
about the definition of the standards themselves. These standards, as well as
audio and video compression standards, continue to evolve. We also must comply
with certain rules and regulations of the Federal Communications Commission
(FCC) regarding electromagnetic radiation and safety standards established by
Underwriters Laboratories, as well as similar regulations and standards
applicable in other countries. Standards are continuously being modified and
replaced. As standards evolve, we may be required to modify our existing
products or develop and support new versions of our products. The failure of our
products to comply, or delays in compliance, with various existing and evolving
industry standards could delay or interrupt volume production of our VoIP
telephony products, which would have a material adverse effect on our business,
financial condition and operating results.</P>
<B><P ALIGN="JUSTIFY">Our ability to offer services outside the U.S. is subject
to the local regulatory environment, which may be complicated and often
uncertain.</P>
</B><P ALIGN="JUSTIFY">Regulatory treatment of VoIP telephony outside the United
States varies from country to country. We currently distribute our products and
services directly to consumers and through resellers that may be subject to
telecommunications regulations in their home countries. The failure of these
resellers to comply with these laws and regulations could reduce our revenue and
profitability. Because of our relationship with the resellers, some countries
may assert that we are required to register as a telecommunications carrier in
that country. In such case, our failure to do so could subject us to fines or
penalties. In addition, some countries are considering subjecting VoIP services
to the regulations applied to traditional telephone companies. Regulatory
developments such as these could have a material adverse effect on our
international operation.</P>
<P ALIGN="JUSTIFY">In many countries in which we operate or our services are
sold, the status of the laws that may relate to our services is unclear. We
cannot be certain that our customers, resellers, or other affiliates are
currently in compliance with regulatory or other legal requirements in their
respective countries, that they or we will be able to comply with existing or
future requirements, and/or that they or we will continue to be in compliance
with any requirements. Our failure or the failure of those with whom we transact
business to comply with these requirements could have a material adverse effect
on our business, operating results and financial condition.</P>
<B><P ALIGN="JUSTIFY">Future legislation or regulation of the internet and/or
voice and video over IP services could restrict our business, prevent us from
offering service or increase our cost of doing business.</P>
</B><P ALIGN="JUSTIFY">At present there are few laws, regulations or rulings
that specifically address access to or commerce on the Internet, including IP
telephony. We are unable to predict the impact, if any, that future legislation,
legal decisions or regulations concerning the Internet may have on our business,
financial condition, and results of operations. Regulation may be targeted
towards, among other things, assessing access or settlement charges, imposing
taxes related to internet communications, imposing tariffs or regulations based
on encryption concerns or the characteristics and quality of products and
services, imposing regulations and requirements related to the handling of
emergency 911 services, any of which could restrict our business or increase our
cost of doing business. The increasing growth of the broadband IP telephony
market and popularity of broadband IP telephony products and services heighten
the risk that governments or other legislative bodies will seek to regulate
broadband IP telephony and the Internet. In addition, large, established
telecommunication companies may devote substantial lobbying efforts to influence
the regulation of the broadband IP telephony market, which may be contrary to
our interests. </P>
<P ALIGN="JUSTIFY">Many regulatory actions are underway or are being
contemplated by federal and state authorities, including the FCC and other state
regulatory agencies. On February 12, 2004, the FCC initiated a notice of public
rule-making to update FCC policy and consider the appropriate regulatory
classification for VoIP and other IP enabled services. On February 11, 2004, the
California Public Utilities Commission (CPUC) initiated an investigation into
voice over IP providers. As a tentative conclusion of law, the CPUC stated that
they believe that VoIP providers are telecommunications providers and should be
treated as such from a regulatory standpoint. There is risk that a regulatory
agency requires us to conform to rules that are unsuitable for IP communications
technologies or rules that cannot be complied with due to the nature and
efficiencies of IP routing, or are unnecessary or unreasonable in light of the
manner in which Packet8 offers service to its customers. It is not possible to
separate the Internet, or any service offered over it, into intrastate and
interstate components. While suitable alternatives may be developed in the
future, the current IP network does not enable us to identify the geographic
nature of the traffic traversing the Internet. There is also risk that specific
E911 requirements imposed by a regulatory agency may impede our ability to offer
service in a manner that conforms to these requirements. While we are developing
technologies that seek to provide access to emergency services in conjunction
with our IP communications offerings, the existing requirements, which are
tethered to and dependent upon the legacy PSTN network, neither work in an IP
environment nor take advantage of the significantly enhanced capabilities of the
IP network. </P>
<B><P ALIGN="JUSTIFY">The effects of federal or state regulatory actions could
have a material adverse effect on our business, financial condition and
operating results.</P>
</B><P ALIGN="JUSTIFY">Increasing interest by U.S. states in the regulation of
voice over IP services could result in laws or regulatory actions that harm our
business.</P>
<P ALIGN="JUSTIFY">Several states have recently shown an interest in regulating
voice over IP, or VoIP, services, as they do for providers of traditional
telephone service. If this trend continues, and if state regulation is not
preempted by action by the U.S. federal government, we may become subject to a
"patchwork quilt" of state regulations and taxes, which would increase our costs
of doing business, and adversely affect our operating results and future
prospects.</P>
<P ALIGN="JUSTIFY">We have already been contacted by several state regulatory
authorities regarding our Packet8 service. On September 11, 2003, we received a
letter from the Public Service Commission of Wisconsin (the WPSC) notifying us
that the WPSC believes that we, via our Packet8 voice and video communications
service, are offering intrastate telecommunications services in the state of
Wisconsin without certification of the WPSC. According to the WPSC's letter, it
believes that we cannot legally provide Packet8-based resold intrastate services
in Wisconsin without certification of the WPSC. In addition, the Commission
believes that Packet8 bills for intrastate services to Wisconsin customers are
void and not collectible. The letter also states that if we do not obtain
certification to offer intrastate telecommunications services, the matter will
be referred to the State of Wisconsin Attorney General for enforcement action.
The letter also states that even if the Company were certified by the WPSC, the
previous operation without certification may still subject the Company to
referral to the State of Wisconsin Attorney General for enforcement action and
possible forfeitures. We consulted with counsel and have responded to the WPSC
and disputed their assertions. While we do not believe that the potential
amounts of any forfeitures would be material to us, if we are subject to an
enforcement action, we may become subject to liabilities and may incur expenses
that adversely affect our results of operations.</P>
<P ALIGN="JUSTIFY">On September 17, 2003, we were contacted by the Ohio Public
Utilities Commission (OPUC) and asked to respond to a questionnaire on Voice
over IP technologies that the OPUC is conducting. The OPUC inquired as to the
nature of our service, how it is provided, and to what Ohio residents the
service is made available. The questionnaire did not contain any assertions
regarding the legality of the Packet8 service under Ohio law or any statements
as to whether the OPUC believes we are subject to regulation by the state of
Ohio. We responded to this questionnaire on October 20, 2003.</P>
<P ALIGN="JUSTIFY">On September 22, 2003, the California Public Utilities
Commission (CPUC) sent us a letter that alleged that we are offering intrastate
telecommunications services for profit in California without having received
formal certification from the CPUC to provide such service. The CPUC also
requested that we file an application with the CPUC for authority to conduct
business as a telecommunications utility no later than October 22, 2003. After
consultation with regulatory counsel, we responded to the CPUC, disputed its
assertions and did not file the requested application. In our October 22, 2003
response to the CPUC, we disagreed with the CPUC's classification of us as a
telephone corporation under the California Public Utilities Code. We asserted
that we are an information services provider and not a telecommunications
provider. The letter from the CPUC did not indicate, and we cannot predict, what
any potential penalties or consequences in failing to obtain certification might
be. If we are subjected to penalties, or if we are required to comply with CPUC
regulations affecting telecommunications service providers, our business may be
adversely affected. On November 13, 2003, the CPUC held a hearing in San
Francisco to hear testimony from CPUC staff and industry representatives
regarding what course of action the CPUC should take with respect to Internet
telephony. A representative from 8x8 testified at the hearing. On February 11,
2004, the CPUC stated that, as a tentative conclusion of law, they believe that
VoIP providers are telecommunications providers and should be treated as such
from a regulatory standpoint. The CPUC initiated an investigation into
appropriate regulation of VoIP providers under state law, and acknowledged that
it has not enforced the same regulatory regime over VoIP as applies to
telecommunications services. The CPUC is considering a number of potential
regulatory requirements, including contribution to state universal service
programs, provision of 911 services, payment of access charges to interconnect
with the PSTN and compliance with NANP protocols and basic consumer protection
laws. The CPUC is also considering whether exempting VoIP providers from
requirements applicable to traditional providers of voice telephony creates
unfair competitive advantages, if the regulatory framework governing the
provision of VoIP should vary based on the market served and whether VoIP
providers should be subject to the current system of intercompany compensation
arrangements. The CPUC has indicated that this process could last up to 18
months, but there is no way for us to predict the timetable or outcome of this
process. </P>
<P ALIGN="JUSTIFY">Most recently, on May 19, 2004, in response to a 2003
complaint case brought by Frontier Telephone of Rochester against Vonage, the
New York State Public Service Commission, or NYPSC concluded that Vonage is a
telephone corporation as defined by New York law and must obtain a Certificate
of Public Convenience and Necessity, which represents the authorization of the
NYPSC to provide telephone service in New York. The NYPSC will allow a forty-
five day period in which Vonage can identify and seek waivers of any rules that
it believes should not apply. Vonage will be required to provide 911 service in
some form, and will be required to file a schedule of its rates. Currently, this
decision applies only to Vonage. While this ruling applies only to Vonage and
not to us, if we are subject to regulation by the NYPSC, we may become subject
to liabilities and may incur expenses that adversely affect our results of
operations.</P>
<B><P ALIGN="JUSTIFY">We may be subject to liabilities for past sales and our
future sales may decrease.</P>
</B><P ALIGN="JUSTIFY">In accordance with current industry practice, we do not
collect state and federal telecommunications taxes, other than federal excise
tax, or other telecommunications surcharges with respect to our Packet8 service.
We do not collect Value Added Tax, or VAT, for services that we provide to
customers in European Union, or EU, member countries. Future expansion of our
Packet8 service, along with other aspects of our evolving business, may result
in additional sales and other tax obligations. One or more states or foreign
countries may seek to impose sales or other tax collection obligations on out-
of-jurisdiction companies that provide telephone service. A successful assertion
by one or more states or foreign countries that we should collect sales or other
taxes on the sale of merchandise or services could result in substantial tax
liabilities for past sales, decrease our ability to compete with traditional
telephone companies, and could have a material adverse effect on our business,
financial condition and operating results. </P>
<B><P ALIGN="JUSTIFY">Potential regulation of Internet service providers could
adversely affect our operations. </P>
</B><P ALIGN="JUSTIFY">To date, the FCC has treated Internet service providers
as information service providers. Information service providers are currently
exempt from federal and state regulations governing common carriers, including
the obligation to pay access charges and contribute to the universal service
fund. The FCC is currently examining the status of Internet service providers
and the services they provide. If the FCC were to determine that internet
service providers, or the services they provide, are subject to FCC regulation,
including the payment of access charges and contribution to the universal
service funds, it could have a material adverse effect on our business,
financial condition and operating results. </P>
<B><P ALIGN="JUSTIFY">There may be risks associated with the lack of 911
emergency dialing with the Packet8 service.</P>
</B><P ALIGN="JUSTIFY">We market the Packet8 service to our residential
customers as a secondary line service, not a primary line service. We do not
encourage our residential customers to use Packet8 as their only telephone
service, due to the fact that the IP dialtone service is only as reliable as a
customer's underlying data service (which is not provided by us). We play a
recorded message to any of our customers who dial 911 from phones connected to
the Packet8 service instructing them to hang up and either dial their local
police/fire department directly from the phone on the Packet8 service, or to
dial 911 from a phone connected to the traditional telephone network. However,
there may be a risk of liability or future regulatory action with respect to the
inability of customers to access local 911 emergency services from a telephone
connected to Packet8 service. </P>
<P ALIGN="JUSTIFY">To date, the FCC has not classified any interstate VoIP
telephony service provider as a "telecommunications carrier," preferring instead
to permit the nascent industry to grow. Under current federal law, providers of
"information services" do not incur obligations to participate in 911 and E911
emergency calling systems. However, there is no guarantee that the FCC's
interpretations and the relevant federal law will not change in a manner that
may increase our cost of doing business or otherwise adversely affect our
ability to deliver the Packet8 service.</P>
<P ALIGN="JUSTIFY">We are currently working on ways to deliver E911 services to
our subscribers. However, many of the technical issues related to the mobility
of IP endpoints may hamper the effectiveness of such a solution. Also, the
rollout of E911 services to our subscribers will occur over time, and we cannot
guarantee that 911 service will be available to all of our subscribers, or to
subscribers outside of the United States. We are also developing ways to
directly connect IP calls to emergency services, but there is no guarantee that
these new technologies will work or that regulatory authorities will find these
new methods acceptable for the handling of emergency call traffic. </P>
<B><P ALIGN="JUSTIFY">We may lose customers if we experience system failures
that significantly disrupt the availability and quality of the services that we
provide. </P>
</B><P ALIGN="JUSTIFY">The operation of our Packet8 service depends on our
ability to avoid and mitigate any interruptions in service or reduced capacity
for customers. Interruptions in service or performance problems, for whatever
reason, could undermine confidence in our services and cause us to lose
customers or make it more difficult to attract new ones. In addition, because
our services may be critical to the businesses of our customers, any significant
interruption in service could result in lost profits or other loss to our
customers. Although we attempt to disclaim liability in our service agreements,
a court might not enforce a limitation on liability, which could expose us to
financial loss. In addition, we may provide our customers with guaranteed
service level commitments. If we are unable to meet these guaranteed service
level commitments as a result of service interruptions, we may be obligated to
provide credits, generally in the form of free service for a short period of
time, to our customers, which could negatively affect our operating results.
</P>
<P ALIGN="JUSTIFY">Consumer access to our websites directly affects our ability
to sign new subscribers and the account management services we offer and thus
affects our service revenues. We experience occasional system interruptions that
make our websites unavailable or prevent us from efficiently fulfilling orders
or providing services to consumers, which may reduce our service revenues and
the attractiveness of our products and services. If we are unable to continually
add additional software and hardware and upgrade our systems and network
infrastructure in an effective manner, it could cause service interruption and
adversely affect our ability to deliver the Packet8 service. </P>
<P ALIGN="JUSTIFY">The failure of any equipment or facility on our network, or
those of our partners or customers, could result in the interruption of customer
service until necessary repairs are made or replacement equipment is installed.
Network failures, delays and errors could also result from natural disasters,
terrorist acts, power losses, security breaches and computer viruses. These
failures, faults or errors could cause delays, service interruptions, expose us
to customer liability or require expensive modifications that could have a
material adverse effect on our business, financial condition and operating
results. </P>
<B><P ALIGN="JUSTIFY">Our success depends on our ability to handle a large
number of simultaneous calls, which our network may not be able to
accommodate.</P>
</B><P ALIGN="JUSTIFY">We expect the volume of simultaneous calls to increase
significantly as the Packet8 subscriber base grows. Our network hardware and
software may not be able to accommodate this additional volume. If we fail to
maintain an appropriate level of operating performance, or if our service is
disrupted, our reputation could be hurt, we could lose customers and this could
have a material adverse effect on our business, financial condition and results
of operations.</P>
<B><P ALIGN="JUSTIFY">We could be liable for breaches of security on our web
site, fraudulent activities of our users, or the failure of third-party vendors
to deliver credit card transaction processing services.</P>
</B><P ALIGN="JUSTIFY">A fundamental requirement for operating an internet-
based, worldwide voice and video communications service and electronically
billing our Packet8 customers is the secure transmission of confidential
information over public networks. Although we have developed systems and
processes that are designed to protect consumer information and prevent
fraudulent credit card transactions and other security breaches, failure to
mitigate such fraud or breaches may adversely affect our operating results. The
law relating to the liability of providers of online payment services is
currently unsettled. We rely on third party providers to process and guarantee
payments made by Packet8 subscribers up to certain limits, and we may be unable
to prevent our users from fraudulently receiving goods and services. Our
liability risk will increase if a larger fraction of our Packet8 transactions
involve fraudulent or disputed credit card transactions. Any costs we incur as a
result of fraudulent transactions could harm our business. In addition, the
functionality of our current billing system relies on certain third-party
vendors delivering services. If these vendors are unable or unwilling to provide
services, we will not be able to charge for our Packet8 services in a timely or
scalable fashion.</P>
<B><P ALIGN="JUSTIFY">We have experienced losses due to subscriber fraud and
theft of service.</P>
</B><P ALIGN="JUSTIFY">Subscribers have obtained access to the Packet8 service
without paying for monthly service and international toll calls by unlawfully
using our authorization codes and submitting fraudulent credit card information.
To date, such losses from unauthorized credit card transactions and theft of
service have not been significant. We have implemented anti-fraud procedures in
order to control losses relating to these practices, but these procedures may
not be adequate to effectively limit all of our exposure in the future from
fraud. If our procedures are not effective, consumer fraud and theft of service
could significantly decrease our revenue and have a material adverse effect on
our business, financial condition and operating results.</P>
<B><P ALIGN="JUSTIFY">Intellectual property and proprietary rights of others
could prevent us from using necessary technology to provide IP voice and video
services. </P>
</B><P ALIGN="JUSTIFY">While we do not know of any technologies that are
patented by others that we believe are necessary for us to provide our services,
certain necessary technology may in fact be patented by other parties either now
or in the future. If such technology were held under patent by another person,
we would have to negotiate a license for the use of that certain technology. We
may not be able to negotiate such a license at a price that is acceptable. The
existence of such a patent, or our inability to negotiate a license for any such
technology on acceptable terms, could force us to cease using such technology
and offering products and services incorporating such technology. </P>
<B><P ALIGN="JUSTIFY">If we discover product defects, we may have product-
related liabilities which may cause us to lose revenues or delay market
acceptance of our products.</P>
</B><P ALIGN="JUSTIFY">Products as complex as those we offer frequently contain
errors, defects, and functional limitations when first introduced or as new
versions are released. We have in the past experienced such errors, defects or
functional limitations. We sell products into markets that are extremely
demanding of robust, reliable, fully functional products. Therefore, delivery of
products with production defects or reliability, quality or compatibility
problems could significantly delay or hinder market acceptance of such products,
which could damage our credibility with our customers and adversely affect our
ability to retain our existing customers and to attract new customers. Moreover,
such errors, defects or functional limitations could cause problems,
interruptions, delays or a cessation of sales to our customers. Alleviating such
problems may require significant expenditures of capital and resources by us.
Despite our testing, our suppliers or our customers may find errors, defects or
functional limitations in new products after commencement of commercial
production. This could result in additional development costs, loss of, or
delays in, market acceptance, diversion of technical and other resources from
our other development efforts, product repair or replacement costs, claims by
our customers or others against us, or the loss of credibility with our current
and prospective customers.</P>
<B><P ALIGN="JUSTIFY">We have significant international operations, which
subject us to risks that could cause our operating results to decline.</P>
</B><P ALIGN="JUSTIFY">Sales to customers outside of the United States during
the years ended March&nbsp;31, 2004, 2003 and 2002 were 71%, 62%, and 61%,
respectively, of total revenues. The following table illustrates our net
revenues by geographic area. Revenues are attributed to countries based on the
destination of shipment (in thousands):</P>

<TABLE CELLSPACING=0 BORDER=0 CELLPADDING=7 WIDTH=668>
<TR><TD WIDTH="41%" VALIGN="TOP">
<P>&nbsp;</TD>
<TD WIDTH="59%" VALIGN="TOP" COLSPAN=3>
<B><FONT SIZE=2><P ALIGN="CENTER">Year Ended March 31,</B></FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<P>&nbsp;</TD>
<TD WIDTH="20%" VALIGN="TOP">
<B><FONT SIZE=2><P ALIGN="CENTER">2004</B></FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<B><FONT SIZE=2><P ALIGN="CENTER">2003</B></FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<B><FONT SIZE=2><P ALIGN="CENTER">2002</B></FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT SIZE=2><P>United States&#9;</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">$&#9;2,728</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">$&#9;4,218</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">$&#9;5,777</FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT SIZE=2><P>Europe&#9;</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;1,309</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;2,657</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;4,126</FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT SIZE=2><P>Taiwan&#9;</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;4,163</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;1,569</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;2,026</FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT SIZE=2><P>Japan&#9;</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;568</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;919</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;1,119</FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<FONT SIZE=2><P>Other&#9;</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<U><FONT SIZE=2><P ALIGN="RIGHT">&#9;540</U></FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<U><FONT SIZE=2><P ALIGN="RIGHT">&#9;1,640</U></FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<U><FONT SIZE=2><P ALIGN="RIGHT">&#9;1,643</U></FONT></TD>
</TR>
<TR><TD WIDTH="41%" VALIGN="TOP">
<P>&nbsp;</TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">$&#9;9,308</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">$&#9;11,003</FONT></TD>
<TD WIDTH="20%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">$&#9;14,691</FONT></TD>
</TR>
</TABLE>

<P ALIGN="JUSTIFY">Substantially all of our products are, and substantially all
of our future products will be, manufactured, assembled, and tested by
independent third parties in foreign countries. International sales and
manufacturing are subject to a number of risks, including general economic
conditions in regions such as Asia, changes in foreign government regulations
and telecommunication standards, potentially weaker protection of intellectual
property rights, export license requirements, tariffs and other trade barriers,
potentially adverse tax consequences, fluctuations in currency exchange rates,
greater difficulty in collecting accounts receivable and longer collection
periods, the impact of recessions in economies outside of the United States, and
difficulty in staffing and managing foreign operations. In addition, language
and cultural differences may result in uncertain market acceptance and
difficulties in marketing efforts. We are also subject to geopolitical risks,
such as political, social, and economic instability, potential hostilities, and
changes in diplomatic and trade relationships, in connection with our
international operations. Taiwan in particular is subject to a high rate of
natural disasters, such as earthquakes or typhoons, which could have significant
impact on our suppliers and customers due to a delay in operations within that
country. In addition, Taiwan's tenuous relationship with mainland China is a
source of continuing concern due to potential hostilities. A significant decline
in demand from foreign markets could have a material adverse effect on our
business, operating results, and financial condition.</P>
<B><P ALIGN="JUSTIFY">We may need to raise additional capital to support our
operations. </P>
</B><P ALIGN="JUSTIFY">As of March 31, 2004, we had cash and cash equivalents
and restricted cash of approximately $14 million. Unless we achieve and maintain
profitability, we will need to raise additional capital in fiscal 2006. We may
not be able to obtain such additional financing as needed on acceptable terms,
or at all, which may require us to reduce our operating costs and other
expenditures, including reductions of personnel and capital expenditures. If we
issue additional equity or convertible debt securities to raise funds, the
ownership percentage of our existing stockholders would be reduced and they may
experience significant dilution. New investors may demand rights, preferences or
privileges senior to those of existing holders of our common stock. If we are
not successful in these actions, we may be forced to cease operations.</P>
<B><P ALIGN="JUSTIFY">We may not be able to maintain our listing on the Nasdaq
SmallCap Market.</P>
</B><P ALIGN="JUSTIFY">Our common stock trades on the Nasdaq SmallCap Market,
which has certain compliance requirements for continued listing of common stock.
</P>
<P ALIGN="JUSTIFY">If our minimum closing bid price per share falls below $1.00
for a period of 30 consecutive business days in the future, we may again be
subject to delisting procedures. As of the close of business on June 18, 2004,
our common stock had a closing bid price of $2.38 per share. We must also meet
additional continued listing requirements contained in Nasdaq Marketplace Rule
4310(c)(2)(b), which requires that we have a minimum of $2,500,000 in
stockholders' equity or $50,000,000 market value of listed securities or
$500,000 of net income from continuing operations for the most recently
completed fiscal year (or two of the three most recently completed fiscal
years). As of June 18, 2004, based on our closing price as of that day, the
market value of our securities approximated $91 million and we were in
compliance with Nasdaq Marketplace Rule 4310(c)(2)(b). There can be no assurance
that we will continue to meet the continued listing requirements.</P>
<P ALIGN="JUSTIFY">Delisting could reduce the ability of our shareholders to
purchase or sell shares as quickly and as inexpensively as they have done
historically. For instance, failure to obtain listing on another market or
exchange may make it more difficult for traders to sell our securities.
Broker-dealers may be less willing or able to sell or make a market in our common
stock. Not maintaining a listing on a major stock market may:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>result in a decrease in the trading price of our common
stock;</LI></P>
<P ALIGN="JUSTIFY"><LI>lessen interest by institutions and individuals in
investing in our common stock; </LI></P>
<P ALIGN="JUSTIFY"><LI>make it more difficult to obtain analyst coverage; and
</LI></P>
<P ALIGN="JUSTIFY"><LI>make it more difficult for us to raise capital in the
future.</LI></P>
</UL>

<P><A NAME="_Toc75165335"></P>
<B><P ALIGN="CENTER">NOTE REGARDING FORWARD-LOOKING STATEMENTS</P>
</B><P ALIGN="JUSTIFY">We have made forward-looking statements in this
prospectus supplement and in documents that we incorporate by reference into
this prospectus supplement. These forward-looking statements are subject to
risks and uncertainties. Actual results may differ materially from those
expressed in these forward-looking statements.</P>
<P ALIGN="JUSTIFY">Forward-looking statements include information concerning our
possible or assumed future results of operations as well as statements that
include the words "believe," "expect," "anticipate," "intend" or similar
expressions. You should understand that certain important factors, including
those set forth in "Risk Factors" below and elsewhere in this prospectus and the
documents that we incorporate by reference into this prospectus supplement,
could affect our future results of operations and could cause those results to
differ materially from those expressed in our forward-looking statements. In
connection with these forward- looking statements, you should carefully review
the risks set forth in this prospectus supplement and the documents we
incorporate by reference into this prospectus supplement.</P>

<P><A NAME="_Toc75165336"></P>
<B>
<P ALIGN="CENTER">USE OF PROCEEDS</P>
</B><P ALIGN="JUSTIFY">We currently intend to use the net proceeds from the sale
of our common stock to fund the expansion of our Packet8 voice and video
communication service, to fund working capital and for general corporate
purposes. General corporate purposes may include capital expenditures, and
possible acquisitions or investments. Pending these uses, the net proceeds will
be invested in interest-bearing securities.</P>

<P><A NAME="_Toc75165337"></P>
<B><P ALIGN="CENTER">DILUTION</P>
</B><P ALIGN="JUSTIFY">Our unaudited net tangible book value as of
March&nbsp;31, 2004 was approximately $12,786,000, or $0.33 per share of common
stock. Net tangible book value per share is calculated by subtracting our total
liabilities from our total tangible assets, which is total assets less
intangible assets, and dividing this amount by the number of shares of common
stock outstanding. After giving effect to the sale by us of the 4,800,000 shares
of common stock offered in this offering, at an assumed public offering price of
$2.50 per share and after deducting the estimated placement agent fees and
estimated offering expenses payable by us, our net tangible book value as of
March&nbsp;31, 2004 would have been approximately $23,986,000, or $0.55 per
share of common stock. This represents an immediate increase in net tangible
book value of $0.22 per share to our existing stockholders and an immediate and
substantial dilution of $1.95 per share to new investors. The following table
illustrates this per share dilution:</P>

<TABLE CELLSPACING=0 BORDER=0 CELLPADDING=7 WIDTH=648>
<TR><TD WIDTH="70%" VALIGN="BOTTOM">

<FONT SIZE=2><P>Assumed public offering price per share
</FONT></TD>
<TD WIDTH="15%" VALIGN="BOTTOM">
<FONT SIZE=2><P>&#9;&#9;</FONT></TD>
<TD WIDTH="15%" VALIGN="BOTTOM">
<FONT SIZE=2><P>&#9;$2.50</FONT></TD>
</TR>
<TR><TD WIDTH="70%" VALIGN="BOTTOM">

<FONT SIZE=2><P>Net tangible book value per share as of March 31, 2004&#9;
</FONT></TD>
<TD WIDTH="15%" VALIGN="BOTTOM">
<FONT SIZE=2><P>&#9;$0.33</FONT></TD>
<TD WIDTH="15%" VALIGN="BOTTOM">
<FONT SIZE=2><P>&#9;&#9;</FONT></TD>
</TR>
<TR><TD WIDTH="70%" VALIGN="BOTTOM">

<FONT SIZE=2><P>Increase per share attributable to new investors&#9;
</FONT></TD>
<TD WIDTH="15%" VALIGN="BOTTOM">
<FONT SIZE=2><P>&#9; <U>0.22</U></FONT></TD>
<TD WIDTH="15%" VALIGN="BOTTOM">
<FONT SIZE=2><P>&#9;&#9;</FONT></TD>
</TR>
<TR><TD WIDTH="70%" VALIGN="BOTTOM">

<FONT SIZE=2><P>As adjusted net tangible book value per share after this
offering&#9;
</FONT></TD>
<TD WIDTH="15%" VALIGN="BOTTOM">
<FONT SIZE=2><P>&#9;&#9;</FONT></TD>
<TD WIDTH="15%" VALIGN="BOTTOM">
<FONT SIZE=2><P>&#9; <U>0.55</U></FONT></TD>
</TR>
<TR><TD WIDTH="70%" VALIGN="BOTTOM">

<FONT SIZE=2><P>Dilution per share to new investors&#9;
</FONT></TD>
<TD WIDTH="15%" VALIGN="BOTTOM">
<FONT SIZE=2><P>&#9;&#9;</FONT></TD>
<TD WIDTH="15%" VALIGN="BOTTOM">
<FONT SIZE=2><P>&#9;<U>$1.95</U></FONT></TD>
</TR>
</TABLE>

<P ALIGN="JUSTIFY">The above discussion and table is based on 38,315,769 shares
of common stock issued and outstanding as of March&nbsp;31, 2004 and
excludes:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>options to purchase approximately 6.2 million shares of our common
stock outstanding as of March&nbsp;31, 2004; and</LI></P>
<P ALIGN="JUSTIFY"><LI>warrants to purchase approximately 2.3 million shares of our common
stock outstanding as of March&nbsp;31, 2004.</LI></P>
</UL>

<P><A NAME="_Toc75165338"></P>
<B>
<P ALIGN="CENTER">PLAN OF DISTRIBUTION</P>
</B><P ALIGN="JUSTIFY">A.G. Edwards &amp; Sons, Inc. and Griffin Securities,
Inc. acted as our placement agents, on a best efforts basis, in connection with
the sale of 4,800,000 shares of our common stock (the "Shares") and warrants to
purchase 1,920,000 shares of our common stock (the "Warrants"). A.G. Edwards and
Griffin will receive a fee of $720,000 upon the closing of the sale of the
Shares and will receive a fee equal to six (6) percent of the gross exercise
prices of the Warrants upon their exercise. The placement agents will also
receive warrants to purchase up to 240,000 shares of our common stock at an
exercise price of $2.50 per share and warrants to purchase up to 96,000 shares
of our common stock at an exercise price of $3.00 per share. The compensation
being paid to the placement agents with respect to this offering will not exceed
eight (8) percent of the gross proceeds received from this offering. The
placement agents have no obligation to buy any shares of our common stock
included in this offering. We have agreed to indemnify the placement agent
against certain liabilities, including certain liabilities under the Securities
Act of 1933, as amended, or to contribute to payments the placement agents may
be required to make because of any of those liabilities.</P>
<P ALIGN="JUSTIFY">The number of shares of common stock and warrants set forth
on the cover of this prospectus supplement will be purchased by an accredited
investor. The obligations of the investor to purchase the common stock included
in this offering are subject to the approval of certain legal matters by our
counsel and to certain other conditions. The investor may be deemed an
"underwriter" with the meaning of the Securities Act of 1933.</P>

<P><A NAME="warrants"></A></P>
<B><P ALIGN="CENTER">DESCRIPTION OF WARRANTS</P>
</B><P ALIGN="JUSTIFY">We offered to a certain investor in a direct placement
4,800,000 shares of our common stock at a sales price of $2.50 per share,
together with warrants to purchase up to an additional 1,920,000 shares of our
common stock (the "Warrants") at an exercise price of $3.00 per share,
exercisable on or before June 21, 2009.</P>
<P ALIGN="JUSTIFY">The number of shares deliverable and/or the exercise price
under the Warrants are subject to adjustment whenever we issue or sell certain
of our securities for a consideration per share less than a price equal to the
then applicable exercise price of the Warrants. The number of shares deliverable
and/or the exercise price under the Warrants are also subject to adjustment to
reflect stock splits and dividends, and similar corporate action. The holders of
the Warrants are entitled to twenty (20) days prior written notice of a change
of control of the Company.
In addition, if certain "Fundamental Transactions" occur, such as a consolidation or merger involving the  Company or a sale or other disposition of all or substantially all of
our properties, the holders of the Warrants are entitled to have all of the obligations under the Warrants assumed by the entity surviving any such Fundamental Transaction.


<P ALIGN="JUSTIFY">Our common stock is quoted on the Nasdaq SmallCap Market
under the symbol "EGHT."</P>

<P><A NAME="legal"></A></P>
<B><P ALIGN="CENTER">LEGAL MATTERS</P>
</B><P ALIGN="JUSTIFY">The validity of the common stock and warrants offered
hereby will be passed upon by Wilson, Sonsini, Goodrich &amp; Rosati,
Professional Corporation, Palo Alto, California, counsel to 8x8, Inc. Certain
legal matters will be passed upon for the placement agents by Bingham McCutchen
LLP, East Palo Alto, California.</P>

<P><A NAME="experts"></A></P>
<B><P ALIGN="CENTER">EXPERTS</P>
</B><P ALIGN="JUSTIFY">The consolidated financial statements incorporated in
this prospectus supplement by reference to the Annual Report on Form 10-K of
8x8, Inc. for year ended March&nbsp;31, 2004, have been so incorporated in
reliance on the report of PricewaterhousCoopers LLP, independent registered
public accounting firm, given on the authority of said firm as experts in
auditing and accounting.</P>

<P><A NAME="more"></A></P>
<B><P ALIGN="CENTER">WHERE YOU CAN FIND MORE INFORMATION</P>
</B><P ALIGN="JUSTIFY">We file reports, proxy statements and other information
with the SEC in accordance with the Securities Exchange Act of 1934, or the
Exchange Act. You may read and copy our reports, proxy statements and other
information filed by us at the public reference room of the SEC in Washington,
D.C. Please call the SEC at 1-800-SEC-0330 for further information about the
public reference rooms. Our reports, proxy statements and other information
filed with the SEC are available to the public over the Internet at the SEC's
website at http://www.sec.gov and through a hyperlink on our Internet website at
http://www.8x8.com.</P>

<P ALIGN="JUSTIFY">The SEC allows us to "incorporate by reference" certain
information we file with them, which means that we can disclose important
information by referring you to those documents. The information incorporated by
reference is considered to be a part of this prospectus, and information that we
file later with the SEC will automatically update and supersede this
information. We incorporate by reference the documents listed below and any
future filings made by us with the SEC under Sections 13(a), 13(c), 14 or 15(d)
of the Exchange Act until our offering is complete:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>our Annual Report on Form 10-K for the year ended
March&nbsp;31, 2004 filed with the SEC on May&nbsp;28, 2004 (as amended by
Amendment No. 1 on Form 10-K/A, filed with the SEC on June 1, 2004 and Amendment
No. 2 on Form 10-K/A, filed with the SEC on June 21, 2004); and </LI></P>
<P ALIGN="JUSTIFY"><LI>the description of our common stock in our registration
statement on Form 8-A filed with the SEC on November&nbsp;21, 1996, including
any amendments or reports filed for the purpose of updating such
description.</LI></P>
</UL>

<P ALIGN="JUSTIFY">You may request a copy of these filings, at no cost, by
telephoning us at (408) 727-1885 or by writing us at the following
address:</P>
<DIR>
<DIR>
<DIR>
<DIR>
<DIR>
<DIR>
<DIR>

<P ALIGN="JUSTIFY">Investor Relations<BR>
                   8X8, Inc.<BR>
                   2445 Mission College Blvd.<BR>
                   Santa Clara, CA 95054</P>
</DIR>
</DIR>
</DIR>
</DIR>
</DIR>
</DIR>
</DIR>

<BR>
<BR>
<BR>
<HR align=center SIZE=2 width="85%">
<BR>
<BR>
<BR>

<B><P>PROSPECTUS</P>
</FONT><FONT SIZE=4><P ALIGN="CENTER">$50,000,000</P>
<P ALIGN="CENTER"><IMG SRC="logo.gif"></P>
</FONT><FONT SIZE=5><P ALIGN="CENTER">8X8, INC.</P>
</FONT><FONT SIZE=4><P ALIGN="CENTER">Common Stock</P>
<P ALIGN="CENTER">Preferred Stock</P>
<P ALIGN="CENTER">Depositary Shares</P>
<P ALIGN="CENTER">Debt Securities</P>
<P ALIGN="CENTER">Warrants</P>
</FONT><P ALIGN="CENTER">See "Risk Factors" beginning on page 4 for information
you should<BR>
consider before buying our securities.</P>
</B><FONT SIZE=2><P ALIGN="JUSTIFY">We may from time to time offer and sell
securities that have an aggregate initial offering price of up to $50,000,000 in
one or more offerings. We may offer these securities separately or together in
any combination and as separate series. This prospectus provides you with a
general description of the securities we may offer.</P>
</FONT><P><HR WIDTH="21%" SIZE=0></P>
<FONT SIZE=2><P ALIGN="JUSTIFY">Each time we sell securities, we will provide a
supplement to this prospectus that contains specific information about the
offering and the terms of the securities. The supplement may also add, update or
change information contained in this prospectus. You should carefully read this
prospectus and the accompanying prospectus supplement before you invest in any
of our securities. This prospectus may not be used to offer and sell securities
unless accompanied by a prospectus supplement.</P>
</FONT><P><HR WIDTH="21%" SIZE=0></P>
<FONT SIZE=2><P ALIGN="JUSTIFY">Our common stock is quoted on the Nasdaq
SmallCap Market under the symbol "EGHT." The last reported sale price on
March&nbsp;29, 2004 was $3.18 per share.</P>
</FONT><P><HR WIDTH="21%" SIZE=0></P>
<FONT SIZE=2><P ALIGN="JUSTIFY">We may offer the securities in amounts, at
prices and on terms determined at the time of offering. We may sell the
securities directly to you, through agents we select, or through underwriters
and dealers we select. If we use agents, underwriters or dealers to sell the
securities, we will name them and describe their compensation in a prospectus
supplement.</P>
</FONT><P><HR WIDTH="21%" SIZE=0></P>
<FONT SIZE=2><P ALIGN="JUSTIFY">Neither the Securities and Exchange Commission
nor any state securities commission has approved or disapproved these securities
or passed upon the accuracy or adequacy of this prospectus. Any representation
to the contrary is a criminal offense.</P>
</FONT><B><P ALIGN="CENTER">This prospectus is dated April 14, 2004</P>
</B><P ALIGN="CENTER">TABLE OF CONTENTS</P>

<TABLE BORDER=0 CELLSPACING=1 CELLPADDING=7 WIDTH=607>
<TR><TD WIDTH="92%" VALIGN="TOP">&nbsp;</TD>
<TD WIDTH="8%" VALIGN="TOP">
<B><U><FONT SIZE=2><P>Page</B></U></FONT></TD>
</TR>
<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Summary</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165342">1</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Risk Factors</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165343">5</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Note Regarding Forward-Looking Statements</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165344">18</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Ratio of Earnings to Fixed Charges</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165345">18</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Use of Proceeds</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165346">19</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Description of Capital Stock</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165347">20</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Description of the Depositary Shares</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165348">21</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Description of the Debt Securities</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165349">24</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Description of the Warrants</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165350">36</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Plan of Distribution</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165351">38</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Legal Matters</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165352">40</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Experts</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165353">40</A></FONT></TD>
</TR>

<TR><TD WIDTH="92%" VALIGN="TOP">
<FONT SIZE=2><P>Where You Can Find More Information</P></FONT></TD>
<TD WIDTH="8%" VALIGN="TOP">
<FONT SIZE=2><P ALIGN="RIGHT">&#9;<A HREF="#_Toc75165354">40</A></FONT></TD>
</TR>
</TABLE>



<P><HR WIDTH="21%" SIZE=0></P>
<P ALIGN="JUSTIFY">No person has been authorized to give any information or make
any representations in connection with this offering other than those contained
or incorporated by reference in this prospectus and any accompanying prospectus
supplement in connection with the offering described in this prospectus and any
accompanying prospectus supplement, and, if given or made, such information or
representations must not be relied upon as having been authorized by us. Neither
this prospectus nor any accompanying prospectus supplement shall constitute an
offer to sell or a solicitation of an offer to buy offered securities in any
jurisdiction in which it is unlawful for such person to make such an offering or
solicitation. Neither the delivery of this prospectus or any accompanying
prospectus supplement nor any sale made hereunder shall under any circumstances
imply that the information contained or incorporated by reference in this
prospectus or in any accompanying prospectus supplement is correct as of any
date subsequent to the date of this prospectus or any accompanying prospectus
supplement.</P>

<P><A NAME="_Toc75165342"></P>
<B><P ALIGN="CENTER">SUMMARY</P>
</B><I><P ALIGN="JUSTIFY">This prospectus is part of a "shelf" registration
statement that we filed with the Securities and Exchange Commission, or the SEC.
Under this shelf registration statement, we may sell up to a total dollar amount
of $50,000,000 of any combination of the securities described in this prospectus
from time to time and in one or more offerings. This prospectus only provides
you with a general description of the securities that we may offer. Each time we
sell securities, we will provide a supplement to this prospectus that contains
specific information about the terms of the securities being sold. The
supplement may also add, update or change information contained in this
prospectus. Before purchasing any securities, you should carefully read both
this prospectus and the accompanying prospectus supplement, together with the
additional information described under the heading, "Where You Can Find More
Information."</P>
</I><B><P ALIGN="CENTER">8X8, INC.</P>
</B><P ALIGN="JUSTIFY">8x8, Inc., and its subsidiaries develop and market
communication technology and services for internet protocol or, IP, telephony
and video applications. The Company was incorporated in California in February
1987, and in December 1996 was reincorporated in Delaware. In August 2000, the
Company changed its name from 8x8, Inc. to Netergy Networks, Inc. The Company
changed its name back to 8x8, Inc. in July 2001. The Company's three product
lines are:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>The Packet8 voice and video communications service
(Packet8), which enables broadband internet users to add digital voice and video
communications services to their high-speed internet connection. Packet8 enables
anyone with high-speed Internet access to sign up for voice over internet
protocol (VoIP) and video communications service at http://www.packet8.net.
Customers can choose a direct-dial phone number from any of the rate centers
offered by the service, and then use an 8x8-supplied terminal adapter to connect
any telephone to a broadband internet connection and make or receive calls from
a regular telephone number. All Packet8 telephone accounts come with voice mail,
caller ID, call waiting, call waiting caller ID, call forwarding, hold, line-
alternate, 3-way conferencing, web access to account controls, and real-time
online billing. In addition, 8x8 offers a videophone for use with the Packet8
service;</LI></P>
<P ALIGN="JUSTIFY"><LI>VoIP semiconductors and related communication software
that are used to make IP telephones and to voice-enable cable and digital
subscriber line modems, wireless devices, and other broadband technologies,
including the voice and videophone endpoints that are currently used by Packet8
and sold by the Company; and</LI></P>
<P ALIGN="JUSTIFY"><LI>Hosted iPBX solutions that allow service providers to
offer to small and medium-sized businesses over broadband networks the features
and functions that a user commonly expects to find in a typical business phone
system. A hosted iPBX solution is a software application that implements the
functionality of a business phone system over the same data connection that a
business uses for connection to the internet.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Our principal offices are located at 2445 Mission College
Blvd., Santa Clara, California 95054 and our telephone number is (408) 727-1885.
Our web site is www.8x8.com.</P>
<B><P ALIGN="CENTER">The Securities We May Offer</P>
</B><P ALIGN="JUSTIFY">With this prospectus, we may offer common stock,
preferred stock, depositary shares, debt securities and warrants, or any
combination of the foregoing. The aggregate offering price of securities that we
offer with this prospectus will not exceed $50,000,000. Each time we offer
securities with this prospectus, we will provide offerees with a prospectus
supplement that will contain the specific terms of the securities being offered.
The following is a summary of the securities we may offer with this prospectus.
We may sell the securities to or through underwriters, dealers or agents or
directly to purchasers. We, as well as any agents acting on our behalf, reserve
the sole right to accept and to reject in whole or in part any proposed purchase
of securities. Each prospectus supplement will set forth the names of any
underwriters, dealers or agents involved in the sale of securities described in
that prospectus supplement and any applicable fee, commission or discount
arrangements with them.</P>
<B><P ALIGN="JUSTIFY">Common Stock</P>
</B><P ALIGN="JUSTIFY">We may offer shares of our common stock, par value $0.001
per share. Holders of our common stock are entitled to receive dividends
declared by our board of directors out of funds legally available for the
payment of dividends, subject to rights, if any, of preferred stock holders.
Currently, we do not pay a dividend. The holders of common stock do not have any
preemptive rights.</P>
<B><P ALIGN="JUSTIFY">Preferred Stock and Depositary Shares</P>
</B><P ALIGN="JUSTIFY">We may offer shares of our preferred stock, par value
$0.001 per share, in one or more series. Our board of directors will determine
the dividend, voting, conversion and other rights of the series of shares of
preferred stock being offered. We may also issue fractional shares of preferred
stock that will be represented by the depositary shares and depositary receipts.
Each particular series of depositary shares will be more fully described in the
prospectus supplement that will accompany this prospectus.</P>
<B><P ALIGN="JUSTIFY">Debt Securities</P>
</B><P ALIGN="JUSTIFY">We may offer secured or unsecured obligations in the form
of one or more senior or subordinated debt securities. The senior debt
securities and the subordinated debt securities are together referred to in this
prospectus as the "debt securities." The senior debt securities would have the
same rank as all of our other unsubordinated debt. The subordinated debt
securities generally will be entitled to payment only after payment of our
senior debt. Senior debt generally includes all debt for money borrowed by us,
except debt that is stated in the instrument governing the terms of that debt to
be not senior to, or to have the same rank in right of payment as, or to be
expressly junior to, the subordinated debt securities. We may issue debt
securities that are convertible into shares of our common stock.</P>
<P ALIGN="JUSTIFY">The senior and subordinated debt securities would be issued
under separate indentures between us and a trustee. We have summarized the
general features of the debt securities to be governed by the indentures. These
indentures have been filed as exhibits to the registration statement
(No.&nbsp;333-) that we have filed with the SEC (this prospectus being part of
that registration statement). We encourage you to read these indentures.
Instructions on how you can get copies of these documents are provided under the
heading "Where You Can Find More Information."</P>
<I><P ALIGN="JUSTIFY">General Indenture Provisions that Apply to Senior and
Subordinated Debt</P>

<UL>

</I><P ALIGN="JUSTIFY"><LI>Each indenture allows debt to be issued in series
with terms particular to each series.</LI></P>
<P ALIGN="JUSTIFY"><LI>Neither of the indentures limit the amount of debt that
we may issue or generally provide holders any protection should there be a
highly leveraged transaction involving our company.</LI></P>
<P ALIGN="JUSTIFY"><LI>Each indenture allows us to merge or to consolidate with
another United States entity or convey, transfer or lease our properties and
assets substantially as an entirety to another United States entity, as long as
certain conditions are met. If these events occur, the other company will be
required to assume our responsibilities on the debt securities, and we will be
released from all liabilities and obligations, except in the case of a
lease.</LI></P>
<P ALIGN="JUSTIFY"><LI>Each indenture provides that we and the trustee may
generally amend the indenture with the consent of holders of a majority of the
total principal amount of the debt outstanding in any series to change certain
of our obligations or your rights concerning the debt. However, to change the
payment of principal or interest, to adversely affect the right to convert, or
to change certain matters, every holder in that series must consent.</LI></P>
<P ALIGN="JUSTIFY"><LI>We may discharge the indentures and defease restrictive
covenants by depositing sufficient funds with the trustee to pay the obligations
when due, as long as certain conditions are met. The trustee would pay all
amounts due to you on the debt from the deposited funds.</LI></P>
</UL>

<I><P ALIGN="JUSTIFY">Events of Default</P>
</I><P ALIGN="JUSTIFY">Each of the following is an event of default under the
indentures:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>principal, or premium, if any, not paid when
due;</LI></P>
<P ALIGN="JUSTIFY"><LI>any sinking fund payment not made when due;</LI></P>
<P ALIGN="JUSTIFY"><LI>failure to pay interest for 30 days;</LI></P>
<P ALIGN="JUSTIFY"><LI>covenants not performed for 90 days after notice;
and</LI></P>
<P ALIGN="JUSTIFY"><LI>certain events of bankruptcy, insolvency or
reorganization of 8X8.</LI></P>
</UL>

<P ALIGN="JUSTIFY">A prospectus supplement may describe deletions of, or changes
or additions to, the events of default.</P>
<I><P ALIGN="JUSTIFY">Remedies</P>
</I><P ALIGN="JUSTIFY">Upon an event of default, other than a bankruptcy,
insolvency or reorganization, the trustee or holders of 25% of the principal
amount outstanding in a series may declare the outstanding principal and
premium, if any, plus accrued and unpaid interest, if any, immediately payable.
However, the holders of a majority in principal amount may, under certain
circumstances, rescind this action. If a bankruptcy, insolvency or
reorganization event of default were to occur, the principal amount and premium,
if any, on all debt securities of that series, together with the accrued and
unpaid interest, if any, would automatically become due and payable.</P>
<I><P ALIGN="JUSTIFY">Indenture Provisions that Apply Only to the Subordinated
Debt Securities</P>
</I><P ALIGN="JUSTIFY">The indenture for the subordinated debt securities
provides that the subordinated debt securities will be subordinated to all
senior debt as defined in the subordinated indenture.</P>
<B><P ALIGN="JUSTIFY">Warrants</P>
</B><P ALIGN="JUSTIFY">We may issue warrants for the purchase of common stock,
preferred stock or debt securities. We may issue warrants independently or
together with other securities.</P>

<P><A NAME="_Toc75165343"></P>
<B><P ALIGN="CENTER">RISK FACTORS</P>
</B><I><P ALIGN="JUSTIFY">Before you invest in our common stock, you should
become aware of various risks, including those described below. You should
carefully consider these risk factors, together with all of the other
information included in this prospectus, including the documents incorporated in
this prospectus by reference, before you decide whether to purchase the
securities. The risks set out below may not be exhaustive.</P>
</I><B><P ALIGN="JUSTIFY">We have a history of losses and we are uncertain as to
our future profitability.</P>
</B><P ALIGN="JUSTIFY">We recorded an operating loss of approximately $2.3
million for the nine months ended December&nbsp;31, 2003, and we ended the
period with an accumulated deficit of $150 million. In addition, we recorded
operating losses of $12 million, $10 million and $74.5 million for the fiscal
years ended March&nbsp;31, 2003, 2002 and 2001, respectively. We expect that we
will continue to incur operating losses for the foreseeable future, and such
losses may be substantial. We will need to generate significant revenue growth
to achieve an operating profit. Given our history of fluctuating revenues and
operating losses, we cannot be certain that we will be able to achieve
profitability on either a quarterly or annual basis in the future.</P>
<B><P ALIGN="JUSTIFY">Our stock price has been highly volatile.</P>
</B><P ALIGN="JUSTIFY">The market price of the shares of our common stock has
been and is likely to be highly volatile. It may be significantly affected by
factors such as:</P>

<UL>
<P ALIGN="JUSTIFY"><LI>actual or anticipated fluctuations in our operating
results;</LI></P>
<P ALIGN="JUSTIFY"><LI>announcements of technical innovations;</LI></P>
<P ALIGN="JUSTIFY"><LI>loss of key personnel;</LI></P>
<P ALIGN="JUSTIFY"><LI>new products or new contracts by us, our competitors or
their customers; and</LI></P>
<P ALIGN="JUSTIFY"><LI>developments with respect to patents or proprietary
rights, general market conditions, changes in financial estimates by securities
analysts, and other factors which could be unrelated to, or outside our
control.</LI></P></UL>

<P ALIGN="JUSTIFY">The stock market has from time to time experienced
significant price and volume fluctuations that have particularly affected the
market prices for the common stocks of technology companies and that have often
been unrelated to the operating performance of particular companies. These broad
market fluctuations may adversely affect the market price of our common stock.
In the past, following periods of volatility in the market price of a company's
securities, securities class action litigation has often been initiated against
the issuing company. If our stock price is volatile, we may also be subject to
such litigation. Such litigation could result in substantial costs and a
diversion of management's attention and resources, which would disrupt business
and could cause a decline in our operating results. Any settlement or adverse
determination in such litigation would also subject us to significant
liability.</P>
<B><P ALIGN="JUSTIFY">The growth of our business and our future profitability
depends on future Packet8 revenue.</P>
</B><P ALIGN="JUSTIFY">We continue to devote substantially all of our resources
to the promotion, distribution and development of our Packet8 service rather
than to our semiconductor and hosted iPBX solutions business. As such, our
future growth and profitability will be dependent on revenue from our Packet8
service, as opposed to revenue from the semiconductor and hosted iPBX solutions
businesses, which have historically accounted for a substantial portion of the
Company's consolidated revenues.</P>
<P ALIGN="JUSTIFY">Semiconductor and related software revenues represented
approximately 88% of the Company's consolidated revenues for both the three and
nine months ended December&nbsp;31, 2003. In addition, such revenues represented
approximately 88% and 91%, respectively, of the Company's consolidated revenues
for fiscal 2003 and 2002. However, these revenues have not been sufficient to
profitably operate the semiconductor business. Therefore, we have begun to
reduce the scope of these operations. During the quarter ended June&nbsp;30,
2003, we completed the end-of of-life of our legacy videoconferencing
semiconductor products. In November 2003, we sold the VIP1 video semiconductor
development effort to Leadtek Research, Inc. (Leadtek). Under the terms of the
transaction, Leadtek acquired the VIP1 development activities, key engineers,
software tools and equipment. Revenues attributable to this development effort
were approximately $1.1 million during the fiscal year ended March&nbsp;31,
2003, representing approximately 12% of revenues of the semiconductor business
and 10.5% of 8x8's consolidated revenues for such period. As a result of the
transfer of this development effort to Leadtek, this development revenue will
cease. In January 2004, we initiated an end-of-life program for our IP telephony
semiconductor products, including the Audacity T2 and T2U products. The
semiconductor business remains a continuing operation and will continue to
generate revenue in the future, although we expect the amounts to decrease, both
on an absolute basis and as percentage of 8x8's consolidated revenues.</P>
<P ALIGN="JUSTIFY">Revenues from the hosted iPBX solutions business represented
approximately 8% and 2% of the Company's consolidated revenues for fiscal 2003
and 2002, respectively. In July 2003, we sold our European subsidiary, Centile
Europe S.A., and licensed, on a non-exclusive basis, our iPBX technology to the
purchaser.</P>
<B><P ALIGN="JUSTIFY">We have only been selling our Packet8 service for a
limited period and there is no guarantee that Packet8 will gain broad market
acceptance.</P>
</B><P ALIGN="JUSTIFY">We have only been selling our Packet8 service since
November 2002. Given our limited history with offering this product, there are
many difficulties that we may encounter, including regulatory hurdles, discussed
below, and other problems that we may not anticipate. To date, we have not
generated significant revenue from the sale of our IP telephony products and
services, including our Packet8 service, and there is no guarantee that we will
be successful in generating significant revenues or achieving profitability. If
we are not able to generate significant revenues selling into the IP telephony
market, our business and operating results would be seriously harmed.</P>
<B><P ALIGN="JUSTIFY">The success of our Packet8 service is dependent on the
growth and public acceptance of IP telephony.</P>
</B><P ALIGN="JUSTIFY">The success of our Packet8 voice and video communications
service is dependent upon future demand for IP telephony systems and services.
In order for the IP telephony market to continue to grow, several things need to
occur. Telephone and cable service providers must continue to invest in the
deployment of high speed broadband networks to residential and commercial
customers. IP networks must improve quality of service for real-time
communications, managing effects such as packet jitter, packet loss, and
unreliable bandwidth, so that toll-quality service can be provided. IP telephony
equipment and services must achieve a similar level of reliability that users of
the public switched telephone network have come to expect from their telephone
service. IP telephony service providers must offer cost and feature benefits to
their customers that are sufficient to cause the customers to switch away from
traditional telephony service providers. If any or all of these factors fail to
occur, our business may not grow.</P>
<B><P ALIGN="JUSTIFY">Our future operating results may not follow past or
expected trends due to many factors and any of these could cause our stock price
to fall.</P>
</B><P ALIGN="JUSTIFY">Our historical operating results have fluctuated
significantly and will likely continue to fluctuate in the future, and a decline
in our operating results could cause our stock price to fall. On an annual and a
quarterly basis, there are a number of factors that may affect our operating
results, many of which are outside our control. These include, but are not
limited to:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>changes in market demand;</LI></P>
<P ALIGN="JUSTIFY"><LI>the timing of customer orders;</LI></P>
<P ALIGN="JUSTIFY"><LI>competitive market conditions;</LI></P>
<P ALIGN="JUSTIFY"><LI>lengthy sales cycles and/or regulatory approval
cycles;</LI></P>
<P ALIGN="JUSTIFY"><LI>new product introductions by us or our
competitors;</LI></P>
<P ALIGN="JUSTIFY"><LI>market acceptance of new or existing products;</LI></P>
<P ALIGN="JUSTIFY"><LI>the cost and availability of components;</LI></P>
<P ALIGN="JUSTIFY"><LI>the mix of our customer base and sales channels;</LI></P>
<P ALIGN="JUSTIFY"><LI>the mix of products sold;</LI></P>
<P ALIGN="JUSTIFY"><LI>the management of inventory;</LI></P>
<P ALIGN="JUSTIFY"><LI>the level of international sales;</LI></P>
<P ALIGN="JUSTIFY"><LI>continued compliance with industry standards;
and</LI></P>
<P ALIGN="JUSTIFY"><LI>general economic conditions.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Our gross margin is affected by a number of factors including
product mix, the recognition of license and other revenues for which there may
be little or no corresponding cost of revenues, product pricing, the allocation
between international and domestic sales, the percentages of direct sales and
sales to resellers, and manufacturing and component costs. The markets for our
products are characterized by falling average selling prices. We expect that, as
a result of competitive pressures and other factors, gross profit as a
percentage of revenue for our IP telephony semiconductor products will continue
to decrease. In the likely event that we encounter significant price competition
in the markets for our products, we could be at a significant disadvantage
compared to our competitors, many of whom have substantially greater resources,
and therefore may be better able to withstand an extended period of downward
pricing pressure.</P>
<P ALIGN="JUSTIFY">Variations in timing of sales may cause significant
fluctuations in future operating results. Because a significant portion of our
business may be derived from orders placed by a limited number of large
customers, including original equipment manufacturers, the timing of such orders
can cause significant fluctuations in our operating results. Anticipated orders
from customers may fail to materialize. Delivery schedules may be deferred or
canceled for a number of reasons, including changes in specific customer
requirements or economic conditions. The adverse impact of a shortfall in our
revenues may be magnified by our inability to adjust spending to compensate for
such shortfall. Announcements by our competitors or us of new products and
technologies could cause customers to defer purchases of our existing products,
which would also have a material adverse effect on our business and operating
results. As a result of these and other factors, it is likely that in some or
all future periods our operating results will be below the expectations of
investors, which would likely result in a significant reduction in the market
price of our common stock.</P>
<B><P ALIGN="JUSTIFY">The IP telephony market is subject to rapid technological
change and we depend on new product introduction in order to maintain and grow
our business.</P>
</B><P ALIGN="JUSTIFY">IP telephony is an emerging market that is characterized
by rapid changes in customer requirements, frequent introductions of new and
enhanced products, and continuing and rapid technological advancement. To
compete successfully in this emerging market, we must continue to design,
develop, manufacture, and sell new and enhanced semiconductor and IP telephony
software products and services that provide increasingly higher levels of
performance and reliability at lower cost. These new and enhanced products must
take advantage of technological advancements and changes, and respond to new
customer requirements. Our success in designing, developing, manufacturing, and
selling such products and services will depend on a variety of factors,
including:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>the identification of market demand for new
products;</LI></P>
<P ALIGN="JUSTIFY"><LI>the scalability of our IP telephony software
products;</LI></P>
<P ALIGN="JUSTIFY"><LI>product and feature selection;</LI></P>
<P ALIGN="JUSTIFY"><LI>timely implementation of product design and
development;</LI></P>
<P ALIGN="JUSTIFY"><LI>product performance;</LI></P>
<P ALIGN="JUSTIFY"><LI>cost-effectiveness of products under
development;</LI></P>
<P ALIGN="JUSTIFY"><LI>effective manufacturing processes; and</LI></P>
<P ALIGN="JUSTIFY"><LI>success of promotional efforts.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Additionally, we may also be required to collaborate with
third parties to develop our products and may not be able to do so on a timely
and cost-effective basis, if at all. We have in the past experienced delays in
the development of new products and the enhancement of existing products, and
such delays will likely occur in the future. If we are unable, due to resource
constraints or technological or other reasons, to develop and introduce new or
enhanced products in a timely manner, if such new or enhanced products do not
achieve sufficient market acceptance, or if such new product introductions
decrease demand for existing products, our operating results would decline and
our business would not grow.</P>
<B><P ALIGN="JUSTIFY">The long and variable sales and deployment cycles for our
IP telephony products may cause our revenue and operating results to vary.</P>
</B><P ALIGN="JUSTIFY">Our Packet8 service, IP telephony software and
semiconductor products have lengthy sales cycles, and we may incur substantial
sales and marketing expenses and expend significant management effort without
making a sale. A customer's decision to purchase our products often involves a
significant commitment of its resources and a lengthy product evaluation and
qualification process. We do not possess the capital infrastructure required to
invest in extensive marketing or advertising campaigns that may be required in
order to sell these products. In addition, the length of our sales cycles will
vary depending on the type of customer to whom we are selling and the product
being sold. Even after making the decision to purchase our products, our
customers may deploy our products slowly. Timing of deployment can vary widely
and will depend on various factors, including:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>the size of the network deployment;</LI></P>
<P ALIGN="JUSTIFY"><LI>the complexity of our customers' network
environments;</LI></P>
<P ALIGN="JUSTIFY"><LI>our customers' skill sets;</LI></P>
<P ALIGN="JUSTIFY"><LI>the hardware and software configuration and customization
necessary to deploy our products; and</LI></P>
<P ALIGN="JUSTIFY"><LI>our customers' ability to finance their purchase of our
products.</LI></P>
</UL>

<P ALIGN="JUSTIFY">As a result, it is difficult for us to predict the quarter in
which our customers may purchase our IP telephony products, and our revenue and
operating results may vary significantly from quarter to quarter.</P>
<B><P ALIGN="JUSTIFY">We need to retain key personnel to support our products
and ongoing operations.</P>
</B><P ALIGN="JUSTIFY">The development and marketing of our IP telephony
products will continue to place a significant strain on our limited personnel,
management, and other resources. Our future success depends upon the continued
services of our executive officers and other key employees who have critical
industry experience and relationships that we rely on to implement our business
plan. None of our officers or key employees are bound by employment agreements
for any specific term. The loss of the services of any of our officers or key
employees could delay the development and introduction of, and negatively impact
our ability to sell our products which could adversely affect our financial
results and impair our growth. We currently do not maintain key person life
insurance policies on any of our employees.</P>
<B><P ALIGN="JUSTIFY">We depend on contract manufacturers to manufacture
substantially all of our products, and any delay or interruption in
manufacturing by these contract manufacturers would result in delayed or reduced
shipments to our customers and may harm our business.</P>
</B><P ALIGN="JUSTIFY">We outsource the manufacturing of our semiconductor
products to independent foundries and as such do not have internal manufacturing
capabilities to meet our customers' demands. We have shifted the manufacture of
our voice over IP semiconductors to an affiliate of STMicroelectronics NV, or
STM, from Taiwan Semiconductor Manufacturing Corporation, or TSMC. STM or its
contract manufacturer, TSMC, will be the sole manufacturer of our semiconductor
products. Furthermore, to the extent TSMC is utilized, Taiwan is always subject
to geological or geopolitical disturbances that could instantly cut off such
supply.</P>
<P ALIGN="JUSTIFY">We do not have long-term purchase agreements with our
contract manufacturers or our component suppliers. There can be no assurance
that our subcontract manufacturers will be able or willing to reliably
manufacture our products, in volumes, on a cost-effective basis or in a timely
manner. For our consumer videophones, IP telephones and media hub devices that
are used with our hosted iPBX and Packet8 service, we rely on the availability
of our semiconductor products. These devices are also sourced solely from
certain overseas contract manufacturers and partners, and are currently not
available from any other manufacturer.</P>
<B><P ALIGN="JUSTIFY">We may not be able to manage our inventory levels
effectively, which may lead to inventory obsolescence that would force us to
lower our prices.</P>
</B><P ALIGN="JUSTIFY">Our products have lead times of up to several months, and
are built to forecasts that are necessarily imprecise. Because of our practice
of building our products to necessarily imprecise forecasts, it is likely that,
from time to time, we will have either excess or insufficient product inventory.
Excess inventory levels would subject us to the risk of inventory obsolescence
and the risk that our selling prices may drop below our inventory costs, while
insufficient levels of inventory may negatively affect relations with customers.
For instance, our customers rely upon our ability to meet committed delivery
dates, and any disruption in the supply of our products could result in legal
action from our customers, loss of customers or harm to our ability to attract
new customers. Any of these factors could have a material adverse effect on our
business, operating results, and financial condition.</P>
<B><P ALIGN="JUSTIFY">If our products do not interoperate with our customers'
networks, orders for our products will be delayed or canceled and substantial
product returns could occur, which could harm our business.</P>
</B><P ALIGN="JUSTIFY">Many of the potential customers for our hosted iPBX
product and Packet8 voice and video communications service have requested that
our products and services be designed to interoperate with their existing
networks, each of which may have different specifications and use multiple
standards. Our customers' networks may contain multiple generations of products
from different vendors that have been added over time as their networks have
grown and evolved. Our products must interoperate with these products as well as
with future products in order to meet our customers' requirements. In some
cases, we may be required to modify our product designs to achieve a sale, which
may result in a longer sales cycle, increased research and development expense,
and reduced operating margins. If our products do not interoperate with existing
equipment or software in our customers' networks, installations could be
delayed, orders for our products could be canceled or our products could be
returned. This could harm our business, financial condition, and results of
operations. Our Packet8 service depends on the availability of third party
network service providers that provide telephone numbers and PSTN call
termination and origination services for our customers. Many of these network
service providers are financially affected by the downturn in the
telecommunications industry and may be forced to terminate the services that we
depend on. The time to interface our technology to another network service
provider, if available, and qualify this new service could have a material
adverse effect on our business, operating results, and financial condition.</P>
<B><P ALIGN="JUSTIFY">We may have difficulty identifying the source of the
problem when there is a problem in a network.</P>
</B><P ALIGN="JUSTIFY">Our hosted iPBX and Packet8 IP service must successfully
integrate with products from other vendors, such as gateways to traditional
telephone systems. As a result, when problems occur in a network, it may be
difficult to identify the source of the problem. The occurrence of hardware and
software errors, whether caused by our hosted iPBX solution, Packet8 service or
another vendor's products, may result in the delay or loss of market acceptance
of our products and any necessary revisions may force us to incur significant
expenses. The occurrence of some of these types of problems may seriously harm
our business, financial condition and results of operations.</P>
<B><P ALIGN="JUSTIFY">Intense competition in the markets in which we compete
could prevent us from increasing or sustaining our revenue and prevent us from
achieving profitability</P>
</B><P ALIGN="JUSTIFY">We expect our competitors to continue to improve the
performance of their current products and introduce new products or new
technologies. If our competitors successfully introduce new products or enhance
their existing products, this could reduce the sales or market acceptance of our
products and services, increase price competition or make our products obsolete.
To be competitive, we must continue to invest significant resources in research
and development, sales and marketing, and customer support. We may not have
sufficient resources to make these investments or to make the technological
advances necessary to be competitive, which in turn will cause our business to
suffer.</P>
<P ALIGN="JUSTIFY">In addition, our focus on developing a range of technology
products, including semiconductors and related embedded software, hosted iPBX
solutions, and the Packet8 service products, has placed a significant strain on
our research and development resources. Competitors that focus on one aspect of
technology, such as software or semiconductors, may have a considerable
advantage over us. In addition, many of our current and potential competitors
have longer operating histories, are substantially larger, and have greater
financial, manufacturing, marketing, technical, and other resources. For
example, certain competitors in the market for our semiconductor products
maintain their own semiconductor foundries and may therefore benefit from
certain capacity, cost and technical advantages. Many also have greater name
recognition and a larger installed base of products than we have. Competition in
our markets may result in significant price reductions. As a result of their
greater resources, many current and potential competitors may be better able
than us to initiate and withstand significant price competition or downturns in
the economy. There can be no assurance that we will be able to continue to
compete effectively, and any failure to do so would harm our business, operating
results, and financial condition.</P>
<B><P ALIGN="JUSTIFY">If we do not develop and maintain successful partnerships
for IP telephony products, we may not be able to successfully market our
solutions.</P>
</B><P ALIGN="JUSTIFY">We are entering into new market areas and our success is
partly dependent on our ability to forge new marketing and engineering
partnerships. IP telephony communication systems are extremely complex and few,
if any, companies possess all the required technology components needed to build
a complete end to end solution. We will likely need to enter into partnerships
to augment our development programs and to assist us in marketing complete
solutions to our targeted customers. We may not be able to develop such
partnerships in the course of our product development. Even if we do establish
the necessary partnerships, we may not be able to adequately capitalize on these
partnerships to aid in the success of our business.</P>
<B><P ALIGN="JUSTIFY">Inability to protect our proprietary technology or our
infringement of a third party's proprietary technology would disrupt our
business.</P>
</B><P ALIGN="JUSTIFY">We rely in part on trademark, copyright, and trade secret
law to protect our intellectual property in the United States and abroad. We
seek to protect our software, documentation, and other written materials under
trade secret and copyright law, which afford only limited protection. We also
rely in part on patent law to protect our intellectual property in the United
States and internationally. We hold fifty-four United States patents and have a
number of United States and foreign patent applications pending. We cannot
predict whether such pending patent applications will result in issued patents.
We may not be able to protect our proprietary rights in the United States or
internationally (where effective intellectual property protection may be
unavailable or limited), and competitors may independently develop technologies
that are similar or superior to our technology, duplicate our technology or
design around any patent of ours. We have in the past licensed and in the future
expect to continue licensing our technology to others; many of who are located
or may be located abroad. There are no assurances that such licensees will
protect our technology from misappropriation. Moreover, litigation may be
necessary in the future to enforce our intellectual property rights, to
determine the validity and scope of the proprietary rights of others, or to
defend against claims of infringement or invalidity. Such litigation could
result in substantial costs and diversion of management time and resources and
could have a material adverse effect on our business, financial condition, and
operating results. Any settlement or adverse determination in such litigation
would also subject us to significant liability.</P>
<P ALIGN="JUSTIFY">There has been substantial litigation in the semiconductor,
electronics, and related industries regarding intellectual property rights, and
from time to time third parties may claim infringement by us of their
intellectual property rights. Our broad range of technology, including systems,
digital and analog circuits, software, and semiconductors, increases the
likelihood that third parties may claim infringement by us of their intellectual
property rights. If we were found to be infringing on the intellectual property
rights of any third party, we could be subject to liabilities for such
infringement, which could be material. We could also be required to refrain from
using, manufacturing or selling certain products or using certain processes,
either of which could have a material adverse effect on our business and
operating results. From time to time, we have received, and may continue to
receive in the future, notices of claims of infringement, misappropriation or
misuse of other parties' proprietary rights. There can be no assurance that we
will prevail in these discussions and actions or that other actions alleging
infringement by us of third party patents will not be asserted or prosecuted
against the Company.</P>
<P ALIGN="JUSTIFY">We rely upon certain technology, including hardware and
software, licensed from third parties. There can be no assurance that the
technology licensed by us will continue to provide competitive features and
functionality or that licenses for technology currently utilized by us or other
technology which we may seek to license in the future will be available to us on
commercially reasonable terms or at all. The loss of, or inability to maintain
existing licenses could result in shipment delays or reductions until equivalent
technology or suitable alternative products could be developed, identified,
licensed and integrated, and could harm our business. These licenses are on
standard commercial terms made generally available by the companies providing
the licenses. The cost and terms of these licenses individually are not material
to our business.</P>
<B><P ALIGN="JUSTIFY">The failure of IP networks to meet the reliability and
quality standards required for voice and video communications could render our
products obsolete.</P>
</B><P ALIGN="JUSTIFY">Circuit-switched telephony networks feature very high
reliability, with a guaranteed quality of service. In addition, such networks
have imperceptible delay and consistently satisfactory audio quality. Emerging
broadband IP networks, such as LANs, WANs, and the internet, or emerging last
mile technologies such as cable, digital subscriber lines, and wireless local
loop, may not be suitable for telephony unless such networks and technologies
can provide reliability and quality consistent with these standards.</P>
<B><P ALIGN="JUSTIFY">Our products must comply with industry standards, FCC
regulations, state, country-specific and international regulations, and changes
may require us to modify existing products.</P>
</B><P ALIGN="JUSTIFY">In addition to reliability and quality standards, the
market acceptance of telephony over broadband IP networks is dependent upon the
adoption of industry standards so that products from multiple manufacturers are
able to communicate with each other. Our IP telephony products rely heavily on
standards such as SIP, H.323, MGCP and Megaco to interoperate with other
vendors' equipment. There is currently a lack of agreement among industry
leaders about which standard should be used for a particular application, and
about the definition of the standards themselves. These standards, as well as
audio and video compression standards, continue to evolve. We also must comply
with certain rules and regulations of the Federal Communications Commission
(FCC) regarding electromagnetic radiation and safety standards established by
Underwriters Laboratories, as well as similar regulations and standards
applicable in other countries. Standards are continuously being modified and
replaced. As standards evolve, we may be required to modify our existing
products or develop and support new versions of our products. The failure of our
products to comply, or delays in compliance, with various existing and evolving
industry standards could delay or interrupt volume production of our IP
telephony products, which would have a material adverse effect on our business,
financial condition and operating results.</P>
<B><P ALIGN="JUSTIFY">Future legislation or regulation of the internet and/or
voice and video over IP services could restrict our business, prevent us from
offering service or increase our cost of doing business.</P>
</B><P ALIGN="JUSTIFY">At present there are few laws, regulations or rulings
that specifically address access to or commerce on the internet, including IP
telephony. We are unable to predict the impact, if any, that future legislation,
legal decisions or regulations concerning the internet may have on our business,
financial condition, and results of operations. Regulation may be targeted
towards, among other things, assessing access or settlement charges, imposing
taxes related to internet communications, imposing tariffs or regulations based
on encryption concerns or the characteristics and quality of products and
services, imposing regulations and requirements related to the handling of
emergency 911 services, any of which could restrict our business or increase our
cost of doing business. The increasing growth of the broadband IP telephony
market and popularity of broadband IP telephony products and services heighten
the risk that governments or other legislative bodies will seek to regulate
broadband IP telephony and the internet. In addition, large, established
telecommunication companies may devote substantial lobbying efforts to influence
the regulation of the broadband IP telephony market, which may be contrary to
our interests.</P>
<P ALIGN="JUSTIFY">Many regulatory actions are underway or are being
contemplated by federal and state authorities, including the FCC and other state
regulatory agencies. On February&nbsp;12, 2004 the FCC initiated a notice of
public rule-making to update FCC policy and consider the appropriate regulatory
classification for VoIP and other IP enabled services. There is risk that a
regulatory agency requires us to conform to rules that are unsuitable for IP
communications technologies or rules that cannot be complied with due to the
nature and efficiencies of IP routing, or are unnecessary or unreasonable in
light of the manner in which Packet8 offers service to its customers. It is not
possible to separate the Internet, or any service offered over it, into
intrastate and interstate components. While suitable alternatives may be
developed in the future, the current IP network does not enable us to identify
the geographic nature of the traffic traversing the Internet. There is also risk
that specific E911 requirements imposed by a regulatory agency may impede our
ability to offer service in a manner that conforms to these requirements. While
we are developing technologies that seek to provide access to emergency services
in conjunction with our IP communications offerings, the existing requirements,
which are tethered to and dependent upon the legacy PSTN network, neither work
in an IP environment nor take advantage of the significantly enhanced
capabilities of the IP network.</P>
<P ALIGN="JUSTIFY">The effects of federal or state regulatory actions could have
a material adverse effect on our business, financial condition and operating
results.</P>
<B><P ALIGN="JUSTIFY">Increasing interest by U.S. states in the regulation of
voice over IP services could result in laws or regulatory actions that harm our
business.</P>
</B><P ALIGN="JUSTIFY">Several states have recently shown an interest in
regulating voice over IP, or VoIP, services, as they do for providers of
traditional telephone service. If this trend continues, and if state regulation
is not preempted by action by the U.S. federal government, we may become subject
to a "patchwork quilt" of state regulations and taxes, which would increase our
costs of doing business, and adversely affect our operating results and future
prospects.</P>
<P ALIGN="JUSTIFY">We have already been contacted by several state regulatory
authorities regarding our Packet8 service. On September&nbsp;11, 2003, we
received a letter from the Public Service Commission of Wisconsin (the WPSC)
notifying us that the WPSC believes that we, via our Packet8 voice and video
communications service, are offering intrastate telecommunications services in
the state of Wisconsin without certification of the WPSC. According to the
WPSC's letter, it believes that we cannot legally provide Packet8-based resold
intrastate services in Wisconsin without certification of the WPSC. In addition,
the Commission believes that Packet8 bills for intrastate services to Wisconsin
customers are void and not collectible. The letter also states that if we do not
obtain certification to offer intrastate telecommunications services, the matter
will be referred to the State of Wisconsin Attorney General for enforcement
action. The letter also states that even if the Company were certified by the
WPSC, the previous operation without certification may still subject the Company
to referral to the State of Wisconsin Attorney General for enforcement action
and possible forfeitures. We consulted with counsel and have responded to the
WPSC and disputed their assertions. While we do not believe that the potential
amounts of any forfeitures would be material to us, if we are subject to an
enforcement action, we may become subject to liabilities and may incur expenses
that adversely affect our results of operations.</P>
<P ALIGN="JUSTIFY">On September&nbsp;17, 2003, we were contacted by the Ohio
Public Utilities Commission (OPUC) and asked to respond to a questionnaire on
Voice over IP technologies that the OPUC is conducting. The OPUC inquired as to
the nature of our service, how it is provided, and to what Ohio residents the
service is made available. The questionnaire did not contain any assertions
regarding the legality of the Packet8 service under Ohio law or any statements
as to whether the OPUC believes we are subject to regulation by the state of
Ohio. We responded to this questionnaire on October&nbsp;20, 2003.</P>
<P ALIGN="JUSTIFY">On September&nbsp;22, 2003, we also received a letter from
the California Public Utilities Commission (CPUC). The correspondence alleges
that we are offering intrastate telecommunications services for profit in
California without having received formal certification from the CPUC to provide
such service. The CPUC also requested that we file an application with the CPUC
for authority to conduct business as a telecommunications utility no later than
October&nbsp;22, 2003. We consulted with regulatory counsel and have responded
to the CPUC and disputed their assertions and did not file the requested
application. In our response to the state of California, we disagreed with the
CPUC's classification of us as a telephone corporation under the California
Public Utilities Code. The letter from the CPUC did not indicate, and we cannot
predict, what any potential penalties or consequences in failing to obtain
certification might be. If we are subjected to penalties, or if we are required
to comply with CPUC regulations affecting telecommunications service providers,
our business may be adversely affected. On November&nbsp;13, 2003, the CPUC held
a hearing in San Francisco to hear testimony from CPUC staff and industry
representatives regarding what course of action the CPUC should take with
respect to Internet telephony. A representative from 8x8 attended the hearing.
In January 2004, the CPUC issued a statement that stated that it was pulling
back from its immediate enforcement approach against IP telephony service
providers, and was establishing a more deliberative process to set regulations.
On February&nbsp;11, 2004, the CPUC approved a formal investigation and
rulemaking into VoIP providers. The CPUC has indicated that this process could
last up to 18 months, but there is no way for us to predict the timetable or
outcome of this process.</P>
<B><P ALIGN="JUSTIFY">Potential regulation of internet service providers could
adversely affect our operations.</P>
</B><P ALIGN="JUSTIFY">To date, the FCC has treated internet service providers
as information service providers. Information service providers are currently
exempt from federal and state regulations governing common carriers, including
the obligation to pay access charges and contribute to the universal service
fund. The FCC is currently examining the status of internet service providers
and the services they provide. If the FCC were to determine that internet
service providers, or the services they provide, are subject to FCC regulation,
including the payment of access charges and contribution to the universal
service funds, it could have a material adverse effect on our business,
financial condition and operating results.</P>
<B><P ALIGN="JUSTIFY">There may be risks associated with the lack of 911
emergency dialing with Packet8 service.</P>
</B><P ALIGN="JUSTIFY">We market the Packet8 voice and video communications
service to our residential customers as a secondary line service, not a primary
line service. We do not encourage our residential customers to use Packet8 as
their only telephone service, due to the fact that the IP dialtone service is
only as reliable as a customer's underlying data service (which is not provided
by 8x8). We play a recorded message to any of our customers who dial 911 from
phones connected to the Packet8 service instructing them to hang up and either
dial their local police/fire department directly from the phone on the Packet8
service, or to dial 911 from a phone connected to the traditional telephone
network. However, there may be a risk of liability or future regulatory action
with respect to the inability of customers to access local 911 emergency
services from a telephone connected to Packet8 service.</P>
<P ALIGN="JUSTIFY">To date, the FCC has not classified any interstate IP
telephony service provider as a "telecommunications carrier," preferring instead
to permit the nascent industry to grow. Under current federal law, providers of
"information services" do not incur obligations to participate in 911 and E911
emergency calling systems. However, there is no guarantee that the FCC's
interpretations and the relevant federal law will not change in a manner that
may increase our cost of doing business or otherwise adversely affect our
ability to deliver the Packet8 service.</P>
<B><P ALIGN="JUSTIFY">We may lose customers if we experience system failures
that significantly disrupt the availability and quality of the services that it
provides.</P>
</B><P ALIGN="JUSTIFY">The operation of our Packet8 voice and video service
depends on our ability to avoid and mitigate any interruptions in service or
reduced capacity for customers. Interruptions in service or performance
problems, for whatever reason, could undermine confidence in our services and
cause us to lose customers or make it more difficult to attract new ones. In
addition, because our services may be critical to the businesses of our
customers, any significant interruption in service could result in lost profits
or other loss to our customers. Although we attempt to disclaim liability in our
service agreements, a court might not enforce a limitation on liability, which
could expose us to financial loss. In addition, we may provide our customers
with guaranteed service level commitments. If we are unable to meet these
guaranteed service level commitments as a result of service interruptions, we
may be obligated to provide credits, generally in the form of free service for a
short period of time, to our customers, which could negatively affect our
operating results.</P>
<P ALIGN="JUSTIFY">The failure of any equipment or facility on our network, or
those of our partners or customers, could result in the interruption of customer
service until necessary repairs are made or replacement equipment is installed.
Network failures, delays and errors could also result from natural disasters,
terrorist acts, power losses, security breaches and computer viruses. These
failures, faults or errors could cause delays, service interruptions, expose us
to customer liability or require expensive modifications that could have a
material adverse effect on our business, financial condition and operating
results.</P>
<B><P ALIGN="JUSTIFY">We could be liable for breaches of security on our web
site, fraudulent activities of our users, or the failure of third-party vendors
to deliver credit card transaction processing services.</P>
</B><P ALIGN="JUSTIFY">A fundamental requirement for operating an internet-
based, worldwide voice and video communications service and electronically
billing our Packet8 customers is the secure transmission of confidential
information over public networks. Although we have developed systems and
processes that are designed to protect consumer information and prevent
fraudulent credit card transactions and other security breaches, failure to
mitigate such fraud or breaches may adversely affect our operating results. The
law relating to the liability of providers of online payment services is
currently unsettled. We rely on third party providers to process and guarantee
payments made by Packet8 subscribers up to certain limits, and we may be unable
to prevent our users from fraudulently receiving goods and services. Our
liability risk will increase if a larger fraction of our Packet8 transactions
involve fraudulent or disputed credit card transactions. Any costs we incur as a
result of fraudulent transactions could harm our business. In addition, the
functionality of our current billing system relies on certain third-party
vendors delivering services. If these vendors are unable or unwilling to provide
services, we will not be able to charge for our Packet8 services in a timely or
scalable fashion.</P>
<B><P ALIGN="JUSTIFY">Intellectual property and proprietary rights of others
could prevent us from using necessary technology to provide IP voice and video
services.</P>
</B><P ALIGN="JUSTIFY">While we do not know of any technologies that are
patented by others that we believe are necessary for us to provide our services,
certain necessary technology may in fact be patented by other parties either now
or in the future. If such technology were held under patent by another person,
we would have to negotiate a license for the use of that certain technology. We
may not be able to negotiate such a license at a price that is acceptable. The
existence of such a patents, or our inability to negotiate a license for any
such technology on acceptable terms, could force us to cease using such
technology and offering products and services incorporating such technology.</P>
<B><P ALIGN="JUSTIFY">If we discover product defects, we may have product-
related liabilities which may cause us to lose revenues or delay market
acceptance of our products.</P>
</B><P ALIGN="JUSTIFY">Products as complex as those we offer frequently contain
errors, defects, and functional limitations when first introduced or as new
versions are released. We have in the past experienced such errors, defects or
functional limitations. We sell products into markets that are extremely
demanding of robust, reliable, fully functional products. Therefore, delivery of
products with production defects or reliability, quality or compatibility
problems could significantly delay or hinder market acceptance of such products,
which could damage our credibility with our customers and adversely affect our
ability to retain our existing customers and to attract new customers. Moreover,
such errors, defects or functional limitations could cause problems,
interruptions, delays or a cessation of sales to our customers. Alleviating such
problems may require significant expenditures of capital and resources by us.
Despite our testing, our suppliers or our customers may find errors, defects or
functional limitations in new products after commencement of commercial
production. This could result in additional development costs, loss of, or
delays in, market acceptance, diversion of technical and other resources from
our other development efforts, product repair or replacement costs, claims by
our customers or others against us, or the loss of credibility with our current
and prospective customers.</P>
<B><P ALIGN="JUSTIFY">We have significant international operations, which
subject us to risks that could cause our operating results to decline.</P>
</B><P ALIGN="JUSTIFY">For the first three and nine months of fiscal 2004, sales
to customers outside of the United States represented 83% and 80%, respectively,
of our total sales. Sales to customers outside of the United States during the
years ended March&nbsp;31, 2003, 2002 and 2001 were 62%, 61% and 69%,
respectively, of total revenues. The following table illustrates our net
revenues by geographic area expressed as a percentage of total revenues for the
corresponding period. Revenues are attributed to countries based on the
destination of shipment:</P>

<TABLE CELLSPACING=0 BORDER=0 CELLPADDING=7 WIDTH=666>
<TR><TD WIDTH="49%" VALIGN="BOTTOM">
<P>&nbsp;</TD>
<TD WIDTH="26%" VALIGN="BOTTOM" COLSPAN=2>
<B><FONT SIZE=2><P ALIGN="CENTER">Three Months Ended
December&nbsp;31,</B></FONT></TD>
<TD WIDTH="26%" VALIGN="BOTTOM" COLSPAN=2>
<B><FONT SIZE=2><P ALIGN="CENTER">Nine Months Ended
December&nbsp;31,</B></FONT></TD>
</TR>
<TR><TD WIDTH="49%" VALIGN="BOTTOM">
<P>&nbsp;</TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<B><FONT SIZE=2><P ALIGN="CENTER">2003</B></FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<B><FONT SIZE=2><P ALIGN="CENTER">2002</B></FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<B><FONT SIZE=2><P ALIGN="CENTER">2003</B></FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<B><FONT SIZE=2><P ALIGN="CENTER">2002</B></FONT></TD>
</TR>
<TR><TD WIDTH="49%" VALIGN="BOTTOM">

<FONT SIZE=2><P>United States
</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">17%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">38%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">20%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">40%</FONT></TD>
</TR>
<TR><TD WIDTH="49%" VALIGN="BOTTOM">

<FONT SIZE=2><P>Europe
</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">5%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">43%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">67%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">26%</FONT></TD>
</TR>
<TR><TD WIDTH="49%" VALIGN="BOTTOM">

<FONT SIZE=2><P>Asia Pacific
</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">78%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">19%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">67%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">24%</FONT></TD>
</TR>
<TR><TD WIDTH="49%" VALIGN="BOTTOM">
<P>&nbsp;</TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">100%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">100%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">100%</FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM">
<FONT SIZE=2><P ALIGN="RIGHT">100%</FONT></TD>
</TR>
</TABLE>

<P ALIGN="JUSTIFY">Substantially all of our current semiconductor and system-
level products are, and substantially all of our future products will be,
manufactured, assembled, and tested by independent third parties in foreign
countries. International sales and manufacturing are subject to a number of
risks, including general economic conditions in regions such as Asia, changes in
foreign government regulations and telecommunication standards, export license
requirements, tariffs and other trade barriers, potentially adverse tax
consequences, fluctuations in currency exchange rates, greater difficulty in
collecting accounts receivable and longer collection periods, the impact of
recessions in economies outside of the United States, and difficulty in staffing
and managing foreign operations. We are also subject to geopolitical risks, such
as political, social, and economic instability, potential hostilities, and
changes in diplomatic and trade relationships, in connection with our
international operations. Taiwan in particular is subject to a high rate of
natural disasters, such as earthquakes or typhoons, which could have significant
impact on our suppliers and customers due to a delay in operations within that
country. In addition, Taiwan's tenuous relationship with mainland China is a
source of continuing concern due to potential hostilities. A significant decline
in demand from foreign markets could have a material adverse effect on our
business, operating results, and financial condition.</P>
<B><P ALIGN="JUSTIFY">We may need to raise additional capital to support our
operations.</P>
</B><P ALIGN="JUSTIFY">As of December&nbsp;31, 2003, we had cash and cash
equivalents of approximately $13.2 million. Unless we achieve and maintain
profitability, we will need to raise additional capital in the future. We may
not be able to obtain such additional financing as needed on acceptable terms,
or at all, which may require us to reduce our operating costs and other
expenditures, including reductions of personnel and capital expenditures. If we
issue additional equity or convertible debt securities to raise funds, the
ownership percentage of our existing stockholders would be reduced and they may
experience significant dilution. New investors may demand rights, preferences or
privileges senior to those of existing holders of our common stock. If we are
not successful in these actions, we may be forced to cease operations.</P>
<B><P ALIGN="JUSTIFY">We may not be able to maintain our listing on the Nasdaq
SmallCap Market.</P>
</B><P ALIGN="JUSTIFY">Our common stock trades on the Nasdaq SmallCap Market,
which has certain compliance requirements for continued listing of common
stock.</P>
<P ALIGN="JUSTIFY">If our minimum closing bid price per share falls below $1.00
for a period of 30 consecutive business days in the future, we may again be
subject to delisting procedures. As of the close of business on
December&nbsp;31, 2003, our common stock had a closing bid price of $4.55 per
share. We must also meet additional continued listing requirements contained in
Nasdaq Marketplace Rule 4310(c)(2)(b), which requires that we have a minimum of
$2,500,000 in stockholders' equity or $50,000,000 market value of listed
securities or $500,000 of net income from continuing operations for the most
recently completed fiscal year (or two of the three most recently completed
fiscal years). As of March&nbsp;29, 2004, based on our closing price as of that
day, the market value of our securities approximated $120 million and we were in
compliance with Nasdaq Marketplace Rule 4310(c)(2)(b). There can be no assurance
that we will continue to meet the continued listing requirements.</P>
<P ALIGN="JUSTIFY">Delisting could reduce the ability of our shareholders to
purchase or sell shares as quickly and as inexpensively as they have done
historically. For instance, failure to obtain listing on another market or
exchange may make it more difficult for traders to sell our securities. Broker-
dealers may be less willing or able to sell or make a market in our common
stock. Not maintaining a listing on a major stock market may:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>result in a decrease in the trading price of our common
stock;</LI></P>
<P ALIGN="JUSTIFY"><LI>lessen interest by institutions and individuals in
investing in our common stock;</LI></P>
<P ALIGN="JUSTIFY"><LI>make it more difficult to obtain analyst coverage;
and</LI></P>
<P ALIGN="JUSTIFY"><LI>make it more difficult for us to raise capital in the
future.</LI></P>
</UL>

<B><P ALIGN="JUSTIFY">The location of our headquarters facility subjects us to
the risk of earthquakes.</P>
</B><P ALIGN="JUSTIFY">Our corporate headquarters is located in the San
Francisco Bay area of Northern California, a region known for seismic activity.
A significant natural disaster, such as an earthquake, could have a material
adverse impact on our business, operating results, and financial condition.</P>
<B><P ALIGN="JUSTIFY">These risk factors could cause actual results to differ
materially from the results anticipated in forward-looking statements.</P>
</B><P ALIGN="JUSTIFY">The reports that we file with the SEC and our other
communications may contain forward-looking statements that involve risks and
uncertainties. We consider forward-looking statements to be those statements
that describe intentions, beliefs, and current expectations with respect to
future operating performance. Our actual results could differ materially from
those anticipated in our forward-looking statements as a result of certain
factors.</P>

<P><A NAME="_Toc75165344"></P>
<B><P ALIGN="CENTER">NOTE REGARDING FORWARD-LOOKING STATEMENTS</P>
</B><P ALIGN="JUSTIFY">We have made forward-looking statements in this
prospectus and in documents that we incorporate by reference into this
prospectus. These forward-looking statements are subject to risks and
uncertainties. Actual results may differ materially from those expressed in
these forward-looking statements.</P>
<P ALIGN="JUSTIFY">Forward-looking statements include information concerning our
possible or assumed future results of operations as well as statements that
include the words "believe," "expect," "anticipate," "intend" or similar
expressions. You should understand that certain important factors, including
those set forth in "Risk Factors" below and elsewhere in this prospectus and the
documents that we incorporate by reference into this prospectus, could affect
our future results of operations and could cause those results to differ
materially from those expressed in our forward-looking statements. In connection
with these forward- looking statements, you should carefully review the risks
set forth in this prospectus and the documents we incorporate by reference into
this prospectus.</P>

<P><A NAME="_Toc75165345"></P>
<B><P ALIGN="CENTER">RATIO OF EARNINGS TO FIXED CHARGES</P>
</B><P ALIGN="JUSTIFY">Our ratio of earnings to fixed charges are as follows for
the fiscal years ended March&nbsp;31 and nine months ended December&nbsp;31,
2003:</P>

<TABLE CELLSPACING=0 BORDER=0 CELLPADDING=7 WIDTH=95%>
<TR><TD WIDTH="33%" VALIGN="BOTTOM">
<P>&nbsp;</TD>
<TD WIDTH="11%" VALIGN="BOTTOM">
<B><FONT SIZE=1><P ALIGN="CENTER">March&nbsp;31, 1999</B></FONT></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" COLSPAN=2>
<B><FONT SIZE=1><P ALIGN="CENTER">March&nbsp;31, 2000</B></FONT></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" COLSPAN=2>
<B><FONT SIZE=1><P ALIGN="CENTER">March&nbsp;31, 2001</B></FONT></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" COLSPAN=2>
<B><FONT SIZE=1><P ALIGN="CENTER">March&nbsp;31, 2002</B></FONT></TD>
<TD WIDTH="11%" VALIGN="BOTTOM" COLSPAN=2>
<B><FONT SIZE=1><P ALIGN="CENTER">March&nbsp;31, 2003</B></FONT></TD>
<TD WIDTH="13%" VALIGN="BOTTOM" COLSPAN=2>
<B><FONT SIZE=1><P ALIGN="CENTER">Nine Months ended December&nbsp;31,
2003</B></FONT></TD>
</TR>
<TR><TD WIDTH="33%" VALIGN="BOTTOM">

<FONT SIZE=2><P>Ratio of Earnings to Fixed Charges
</FONT></TD>
<TD WIDTH="11%" VALIGN="BOTTOM">
<P ALIGN="CENTER">-</TD>
<TD WIDTH="11%" VALIGN="BOTTOM" COLSPAN=2>
<P ALIGN="CENTER">-</TD>
<TD WIDTH="11%" VALIGN="BOTTOM" COLSPAN=2>
<P ALIGN="CENTER">-</TD>
<TD WIDTH="11%" VALIGN="BOTTOM" COLSPAN=2>
<P ALIGN="CENTER">-</TD>
<TD WIDTH="11%" VALIGN="BOTTOM" COLSPAN=2>
<P ALIGN="CENTER">-</TD>
<TD WIDTH="13%" VALIGN="BOTTOM" COLSPAN=2>
<P ALIGN="CENTER">-</TD>
</TR>
</TABLE>

<P ALIGN="JUSTIFY">For purposes of computing the ratio of earnings to fixed
charges in the table above, earnings are defined as income (loss) before
provision for income taxes adjusted for fixed charges. Fixed charges are
interest expenses including amortization of debt issuance cost plus the portion
of interest expense under operating leases deemed by us to be representative of
the interest factor. Due to our losses incurred for the nine months ended
December&nbsp;31, 2003 and the fiscal years ended March&nbsp;31, 2003, 2002,
2001, 2000 and 1999, earnings were insufficient to cover fixed charges by $1.5
million, $11.4 million, $9.1 million, $74.4 million, $28.8 million, and $19.2
million. For the periods indicated above, we had no outstanding shares of
preferred stock with required dividend payments. Therefore, the ratios of
earnings to fixed charges and preferred stock dividends are identical to the
ratios presented in the above table<FONT SIZE=2>.</P>

<P><A NAME="_Toc75165346"></P>
<B>
<P ALIGN="CENTER">USE OF PROCEEDS</P>
</B><P ALIGN="JUSTIFY">Unless otherwise indicated in the prospectus supplement,
we currently intend to use the net proceeds from the sale of securities that we
may offer with this prospectus and any accompanying prospectus supplement to
fund the expansion of our Packet8 voice and video communication service, to fund
working capital and for general corporate purposes. General corporate purposes
may include capital expenditures, possible acquisitions, investments, repurchase
of our capital stock and any other purposes that we may specify in any
prospectus supplement. Pending these uses, the net proceeds will be invested in
interest-bearing securities<FONT SIZE=2>.</P>

<P><A NAME="_Toc75165347"></P>
<B>
<P ALIGN="CENTER">DESCRIPTION OF CAPITAL STOCK</P>
</B><P ALIGN="JUSTIFY">Our authorized capital stock consists of 100,000,000
shares of common stock, $0.001 par value, and 5,000,000 shares of preferred
stock, $0.001 par value. As of February&nbsp;29, 2004, there were:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>38,315,769 shares of our common stock
outstanding;</LI></P>
<P ALIGN="JUSTIFY"><LI>one share of preferred stock issued and
outstanding;</LI></P>
<P ALIGN="JUSTIFY"><LI>options to purchase 6,048,932 shares of the Company's
common stock outstanding; and</LI></P>
<P ALIGN="JUSTIFY"><LI>warrants to purchase 2,876,762 shares of the Company's
common stock outstanding.</LI></P>
</UL>

<B><P ALIGN="JUSTIFY">Common Stock</P>
</B><P ALIGN="JUSTIFY">Holders of our common stock have one vote per share on
all matters submitted to a vote of stockholders. Stockholders do not have
cumulative voting rights. The holders of our common stock have the right to
receive dividends if they are declared by the our board of directors and there
are sufficient funds to legally pay dividends, subject to the rights of the
holders of any outstanding preferred stock to receive preferential dividends.
Upon the liquidation of 8x8, holders of our common stock would share ratably in
any assets available for distribution to stockholders after payment of all of
our obligations and the aggregate liquidation preference (including accrued and
unpaid dividends) of any outstanding preferred stock. Our common stock is not
redeemable and has no preemptive, subscription or conversion rights. Shares of
our common stock currently outstanding are, and shares of common stock that may
be issued under the prospectus will be, validly issued, fully paid and
nonassessable.</P>
<B><P ALIGN="JUSTIFY">Preferred Stock</P>
</B><P ALIGN="JUSTIFY">Our board of directors has the authority, without further
action by the stockholders, to issue up to an additional 4,999,999 shares of
preferred stock. Our board of directors may issue preferred stock in one or more
series and fix the rights, preferences, privileges and restrictions of such
preferred stock, including:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>dividend rights;</LI></P>
<P ALIGN="JUSTIFY"><LI>dividend rate;</LI></P>
<P ALIGN="JUSTIFY"><LI>conversion or exchange rights;</LI></P>
<P ALIGN="JUSTIFY"><LI>voting rights;</LI></P>
<P ALIGN="JUSTIFY"><LI>rights and terms of redemption, including redemption at
our option or at the option of the holders;</LI></P>
<P ALIGN="JUSTIFY"><LI>any sinking fund or similar provision; redemption price
or prices;</LI></P>
<P ALIGN="JUSTIFY"><LI>the liquidation preferences of any wholly unissued series
of preferred stock;</LI></P>
<P ALIGN="JUSTIFY"><LI>the number of shares constituting any series or the
designation of such series; and</LI></P>
<P ALIGN="JUSTIFY"><LI>any or all other preferences and participating, optional
or other special rights, privileges or qualification, limitations or
restrictions.</LI></P>
</UL>

<P ALIGN="JUSTIFY">The issuance of preferred stock could decrease the amount of
earnings and assets available for distribution to the holders of our common
stock or adversely affect the rights and powers, including voting rights, of the
holders of our common stock. We have no present plans to issue any additional
preferred stock.</P>
<B><P ALIGN="JUSTIFY">Stock Options and Warrants</P>
</B><P ALIGN="JUSTIFY">As of February&nbsp;29, 2004, there were 8,925,694 shares
of common stock reserved for issuance under our equity incentive plans, options
and warrants. Of this number, 6,048,932 shares were reserved for issuance upon
exercise of outstanding options that were previously granted under our stock
option plans, 5,225,699 shares were reserved for issuance upon exercise of
options that may be granted in the future under our stock option plans,
2,876,762 shares were reserved for issuance upon exercise of outstanding
warrants, and no shares were reserved for issuance under our Employee Stock
Purchase Plan.</P>
<B><P ALIGN="JUSTIFY">Transfer Agent and Registrar</P>
</B><P ALIGN="JUSTIFY">Computershare Trust Company, Inc. is the transfer agent
and registrar for our common stock.</P>

<P><A NAME="_Toc75165348"></P>
<B><P ALIGN="CENTER">DESCRIPTION OF THE DEPOSITARY SHARES</P>
<P ALIGN="JUSTIFY">General</P>
</B><P ALIGN="JUSTIFY">At our option, we may elect to offer fractional shares of
preferred stock, rather than full shares of preferred stock. If we do elect to
offer fractional shares of preferred stock, we will issue to the public receipts
for depositary shares and each of these depositary shares will represent a
fraction of a share of a particular series of preferred stock, as specified in
the applicable prospectus supplement. Each owner of a depositary share will be
entitled, in proportion to the applicable fractional interest in shares of
preferred stock underlying that depositary share, to all rights and preferences
of the preferred stock underlying that depositary share. These rights may
include dividend, voting, redemption and liquidation rights.</P>
<P ALIGN="JUSTIFY">The shares of preferred stock underlying the depositary
shares will be deposited with a bank or trust company selected by us to act as
depositary, under a deposit agreement between us, the depositary and the holders
of the depositary receipts. The depositary will be the transfer agent, registrar
and dividend disbursing agent for the depositary shares.</P>
<P ALIGN="JUSTIFY">The depositary shares will be evidenced by depositary
receipts issued pursuant to the depositary agreement. Holders of depositary
receipts agree to be bound by the deposit agreement, which requires holders to
take certain actions such as filing proof of residence and paying certain
charges.</P>
<P ALIGN="JUSTIFY">The summary of terms of the depositary shares contained in
this prospectus is not complete, and is subject to modification in any
prospectus supplement for any issuance of depositary shares. You should refer to
the forms of the deposit agreement, our articles of incorporation and the
certificate of determination for the applicable series of preferred stock that
are, or will be, filed with the SEC.</P>
<B><P ALIGN="JUSTIFY">Dividends</P>
</B><P ALIGN="JUSTIFY">The depositary will distribute cash dividends or other
cash distributions, if any, received in respect of the series of preferred stock
underlying the depositary shares to the record holders of depositary receipts in
proportion to the number of depositary shares owned by those holders on the
relevant record date. The relevant record date for depositary shares will be the
same date as the record date for the preferred stock.</P>
<P ALIGN="JUSTIFY">In the event of a distribution other than in cash, the
depositary will distribute property received by it to the record holders of
depositary receipts that are entitled to receive the distribution, unless the
depositary determines that it is not feasible to make the distribution. If this
occurs, the depositary, with our approval, may adopt another method for the
distribution, including selling the property and distributing the net proceeds
to the holders.</P>
<B><P ALIGN="JUSTIFY">Liquidation preference</P>
</B><P ALIGN="JUSTIFY">If a series of preferred stock underlying the depositary
shares has a liquidation preference, in the event of our voluntary or
involuntary liquidation, dissolution or winding up, holders of depositary shares
will be entitled to receive the fraction of the liquidation preference accorded
each share of the applicable series of preferred stock, as set forth in the
applicable prospectus supplement.</P>
<B><P ALIGN="JUSTIFY">Redemption</P>
</B><P ALIGN="JUSTIFY">If a series of preferred stock underlying the depositary
shares is subject to redemption, the depositary shares will be redeemed from the
proceeds received by the depositary resulting from the redemption, in whole or
in part, of the preferred stock held by the depositary. Whenever we redeem any
preferred stock held by the depositary, the depositary will redeem, as of the
same redemption date, the number of depositary shares representing the preferred
stock so redeemed. The depositary will mail the notice of redemption to the
record holders of the depositary receipts promptly upon receiving the notice
from us and no fewer than 20 or more than 60 days, unless otherwise provided in
the applicable prospectus supplement, prior to the date fixed for redemption of
the preferred stock.</P>
<B><P ALIGN="JUSTIFY">Voting</P>
</B><P ALIGN="JUSTIFY">Upon receipt of notice of any meeting at which the
holders of preferred stock are entitled to vote, the depositary will mail the
information contained in the notice of meeting to the record holders of the
depositary receipts underlying the preferred stock. Each record holder of those
depositary receipts on the record date will be entitled to instruct the
depositary as to the exercise of the voting rights pertaining to the amount of
preferred stock underlying that holder's depositary shares. The record date for
the depositary will be the same date as the record date for the preferred stock.
The depositary will try, as far as practicable, to vote the preferred stock
underlying the depositary shares in accordance with these instructions. We will
agree to take all action that may be deemed necessary by the depositary in order
to enable the depositary to vote the preferred stock in accordance with these
instructions. The depositary will not vote the preferred stock to the extent
that it does not receive specific instructions from the holders of depositary
receipts.</P>
<B><P ALIGN="JUSTIFY">Withdrawal of Preferred Stock</P>
</B><P ALIGN="JUSTIFY">Owners of depositary shares will be entitled to receive
upon surrender of depositary receipts at the principal office of the depositary
and payment of any unpaid amount due to the depositary, the number of whole
shares of preferred stock underlying their depositary shares.</P>
<P ALIGN="JUSTIFY">Partial shares of preferred stock will not be issued. Holders
of preferred stock will not be entitled to deposit the shares under the deposit
agreement or to receive depositary receipts evidencing depositary shares for the
preferred stock.</P>
<B><P ALIGN="JUSTIFY">Amendment and termination of the deposit agreement</P>
</B><P ALIGN="JUSTIFY">The form of depositary receipt evidencing the depositary
shares and any provision of the deposit agreement may be amended by agreement
between the depositary and us. However, any amendment which materially and
adversely alters the rights of the holders of depositary shares, other than fee
changes, will not be effective unless the amendment has been approved by at
least a majority of the outstanding depositary shares. The deposit agreement may
be terminated by the depositary or us only if:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>all outstanding depositary shares have been redeemed;
or</LI></P>
<P ALIGN="JUSTIFY"><LI>there has been a final distribution of the preferred
stock in connection with our dissolution and such distribution has been made to
all the holders of depositary shares.</LI></P>
</UL>

<B><P ALIGN="JUSTIFY">Charges of depositary</P>
</B><P ALIGN="JUSTIFY">We will pay all transfer and other taxes and governmental
charges arising solely from the existence of the depositary arrangement. We will
also pay charges of the depositary in connection with:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>the initial deposit of the preferred stock;</LI></P>
<P ALIGN="JUSTIFY"><LI>the initial issuance of the depositary shares;</LI></P>
<P ALIGN="JUSTIFY"><LI>any redemption of the preferred stock; and</LI></P>
<P ALIGN="JUSTIFY"><LI>all withdrawals of preferred stock by owners of
depositary shares.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Holders of depositary receipts will pay transfer, income and
other taxes and governmental charges and other specified charges as provided in
the deposit agreement for their accounts. If these charges have not been paid,
the depositary may:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>refuse to transfer depositary shares;</LI></P>
<P ALIGN="JUSTIFY"><LI>withhold dividends and distributions; and</LI></P>
<P ALIGN="JUSTIFY"><LI>sell the depositary shares evidenced by the depositary
receipt.</LI></P>
</UL>

<B><P ALIGN="JUSTIFY">Miscellaneous</P>
</B><P ALIGN="JUSTIFY">The depositary will forward to the holders of depositary
receipts all reports and communications we deliver to the depositary that we are
required to furnish to the holders of the preferred stock. In addition, the
depositary will make available for inspection by holders of depositary receipts
at the principal office of the depositary, and at such other places as it may
from time to time deem advisable, any reports and communications we deliver to
the depositary as the holder of preferred stock.</P>
<P ALIGN="JUSTIFY">Neither the depositary nor we will be liable if either the
depositary or we are prevented or delayed by law or any circumstance beyond the
control of either the depositary or us in performing our respective obligations
under the deposit agreement. Our obligations and the depositary's obligations
will be limited to the performance in good faith of our or the depositary's
respective duties under the deposit agreement. Neither the depositary nor we
will be obligated to prosecute or defend any legal proceeding in respect of any
depositary shares or preferred stock unless satisfactory indemnity is furnished.
The depositary and we may rely on:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>written advice of counsel or accountants;</LI></P>
<P ALIGN="JUSTIFY"><LI>information provided by holders of depositary receipts or
other persons believed in good faith to be competent to give such information;
and</LI></P>
<P ALIGN="JUSTIFY"><LI>documents believed to be genuine and to have been signed
or presented by the proper party or parties.</LI></P>
</UL>

<B><P ALIGN="JUSTIFY">Resignation and removal of depositary</P>
</B><P ALIGN="JUSTIFY">The depositary may resign at any time by delivering a
notice to us. We may remove the depositary at any time. Any such resignation or
removal will take effect upon the appointment of a successor depositary and its
acceptance of such appointment. The successor depositary must be appointed
within 60 days after delivery of the notice for resignation or removal. The
successor depositary must be a bank or trust company having its principal office
in the United States of America and having a combined capital and surplus of at
least $50,000,000.</P>
<B><P ALIGN="JUSTIFY">Federal income tax consequences</P>
</B><P ALIGN="JUSTIFY">Owners of the depositary shares will be treated for U.S.
federal income tax purposes as if they were owners of the preferred stock
underlying the depositary shares. As a result, owners will be entitled to take
into account for U.S. federal income tax purposes and deductions to which they
would be entitled if they were holders of such preferred stock. No gain or loss
will be recognized for U.S. federal income tax purposes upon the withdrawal of
preferred stock in exchange for depositary shares. The tax basis of each share
of preferred stock to an exchanging owner of depositary shares will, upon such
exchange, be the same as the aggregate tax basis of the depositary shares
exchanged. The holding period for preferred stock in the hands of an exchanging
owner of depositary shares will include the period during which such person
owned such depositary shares.</P>

<P><A NAME="_Toc75165349"></P>
<B><P ALIGN="CENTER">DESCRIPTION OF THE DEBT SECURITIES</P>
</B><P ALIGN="JUSTIFY">The debt securities may be either secured or unsecured
and will either be our senior debt securities or our subordinated debt
securities. The debt securities will be issued under one or more separate
indentures between us and a trustee to be specified in an accompanied prospectus
supplement. Senior debt securities will be issued under a senior indenture and
subordinated debt securities will be issued under a subordinated indenture.
Together, the senior indenture and the subordinated indenture are called
indentures in this description. This prospectus, together with the applicable
prospectus supplement, will describe the terms of a particular series of debt
securities.</P>
<P ALIGN="JUSTIFY">The following is a summary of selected provisions and
definitions of the indentures and debt securities to which any prospectus
supplement may relate. The summary of selected provisions of the indentures and
the debt securities appearing below is not complete and is subject to, and
qualified entirely by reference to, all of the provisions of the applicable
indenture and certificates evidencing the applicable debt securities. For
additional information, you should look at the applicable indenture and the
certificate evidencing the applicable debt security that is filed as an exhibit
to the registration statement that includes the prospectus. In this description
of the debt securities, the words "8X8," "we," "us" or "our" refer only to 8X8,
Inc. and not to any of our subsidiaries, unless we otherwise expressly state or
the context otherwise requires.</P>
<P ALIGN="JUSTIFY">The following description sets forth selected general terms
and provisions of the applicable indenture and debt securities to which any
prospectus supplement may relate. Other specific terms of the applicable
indenture and debt securities will be described in the applicable prospectus
supplement. If any particular terms of the indenture or debt securities
described in a prospectus supplement differ from any of the terms described
below, then the terms described below will be deemed to have been superceded by
that prospectus supplement.</P>
<B><P ALIGN="JUSTIFY">General</P>
</B><P ALIGN="JUSTIFY">Debt securities may be issued in separate series without
limitation as to aggregate principal amount. We may specify a maximum aggregate
principal amount for the debt securities of any series.</P>
<P ALIGN="JUSTIFY">We are not limited as to the amount of debt securities we may
issue under the indentures. Unless otherwise provided in a prospectus
supplement, a series of debt securities may be reopened to issue additional debt
securities of such series.</P>
<P ALIGN="JUSTIFY">The prospectus supplement relating to a particular series of
debt securities will set forth:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>whether the debt securities are senior or
subordinated;</LI></P>
<P ALIGN="JUSTIFY"><LI>the offering price;</LI></P>
<P ALIGN="JUSTIFY"><LI>the title;</LI></P>
<P ALIGN="JUSTIFY"><LI>any limit on the aggregate principal amount;</LI></P>
<P ALIGN="JUSTIFY"><LI>the person who shall be entitled to receive interest, if
other than the record holder on the record date;</LI></P>
<P ALIGN="JUSTIFY"><LI>the date or dates the principal will be payable;</LI></P>
<P ALIGN="JUSTIFY"><LI>the interest rate or rates, which may be fixed or
variable, if any, the date from which interest will accrue, the interest payment
dates and the regular record dates, or the method for calculating the dates and
rates;</LI></P>
<P ALIGN="JUSTIFY"><LI>the place where payments may be made;</LI></P>
<P ALIGN="JUSTIFY"><LI>any mandatory or optional redemption provisions or
sinking fund provisions and any applicable redemption or purchase prices
associated with these provisions;</LI></P>
<P ALIGN="JUSTIFY"><LI>if issued other than in denominations of U.S. $1,000 or
any multiple of U.S. $1,000, the denominations in which the debt securities
shall be issuable;</LI></P>
<P ALIGN="JUSTIFY"><LI>if applicable, the method for determining how the
principal, premium, if any, or interest will be calculated by reference to an
index or formula;</LI></P>
<P ALIGN="JUSTIFY"><LI>if other than U.S. currency, the currency or currency
units in which principal, premium, if any, or interest will be payable and
whether we or a holder may elect payment to be made in a different
currency;</LI></P>
<P ALIGN="JUSTIFY"><LI>the portion of the principal amount that will be payable
upon acceleration of maturity, if other than the entire principal
amount;</LI></P>
<P ALIGN="JUSTIFY"><LI>if the principal amount payable at stated maturity will
not be determinable as of any date prior to stated maturity, the amount or
method for determining the amount which will be deemed to be the principal
amount;</LI></P>
<P ALIGN="JUSTIFY"><LI>if applicable, whether the debt securities shall be
subject to the defeasance provisions described below under "Satisfaction and
discharge; defeasance" or such other defeasance provisions specified in the
applicable prospectus supplement for the debt securities;\</LI></P>
<P ALIGN="JUSTIFY"><LI>any conversion or exchange provisions;</LI></P>
<P ALIGN="JUSTIFY"><LI>whether the debt securities will be issuable in the form
of a global security; any subordination provisions applicable to the
subordinated debt securities if different from those described below under
"Subordinated debt securities";</LI></P>
<P ALIGN="JUSTIFY"><LI>any paying agents, authenticating agents, security
registrars or other agents for the debt securities, if other than the
trustee;</LI></P>
<P ALIGN="JUSTIFY"><LI>any provisions relating to any security provided for the
debt securities, including any provisions regarding the circumstances under
which collateral may be released or substituted;</LI></P>
<P ALIGN="JUSTIFY"><LI>any deletions of, or changes or additions to, the events
of default, acceleration provisions or covenants;</LI></P>
<P ALIGN="JUSTIFY"><LI>any provisions relating to guaranties for the securities
and any circumstances under which there may be additional obligors; and</LI></P>
<P ALIGN="JUSTIFY"><LI>any other specific terms of such debt
securities.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Unless otherwise specified in the prospectus supplement, the
debt securities will be registered debt securities. Debt securities may be sold
at a substantial discount below their stated principal amount, bearing no
interest or interest at a rate which at time of issuance is below market rates.
The U.S. federal income tax considerations applicable to debt securities sold at
a discount will be described in the applicable prospectus supplement.</P>
<B><P ALIGN="JUSTIFY">Exchange and transfer</P>
</B><P ALIGN="JUSTIFY">Debt securities may be transferred or exchanged at the
office of the security registrar or at the office of any transfer agent
designated by us.</P>
<P ALIGN="JUSTIFY">We will not impose a service charge for any transfer or
exchange, but we may require holders to pay any tax or other governmental
charges associated with any transfer or exchange.</P>
<P ALIGN="JUSTIFY">In the event of any partial redemption of debt securities of
any series, we will not be required to:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>issue, register the transfer of, or exchange, any debt
security of that series during a period beginning at the opening of business 15
days before the day of mailing of a notice of redemption and ending at the close
of business on the day of the mailing; or</LI></P>
<P ALIGN="JUSTIFY"><LI>register the transfer of or exchange any debt security of
that series selected for redemption, in whole or in part, except the unredeemed
portion being redeemed in part.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Initially, we have appointed the trustee as the security
registrar. Any transfer agent, in addition to the security registrar initially
designated by us, will be named in the prospectus supplement. We may designate
additional transfer agents or change transfer agents or change the office of the
transfer agent. However, we will be required to maintain a transfer agent in
each place of payment for the debt securities of each series.</P>
<B><P ALIGN="JUSTIFY">Global securities</P>
</B><P ALIGN="JUSTIFY">The debt securities of any series may be represented, in
whole or in part, by one or more global securities. Each global security
will:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>be registered in the name of a depositary, or its
nominee, that we will identify in a prospectus supplement;</LI></P>
<P ALIGN="JUSTIFY"><LI>be deposited with the depositary or nominee or custodian;
and</LI></P>
<P ALIGN="JUSTIFY"><LI>bear any required legends.</LI></P>
</UL>

<P ALIGN="JUSTIFY">No global security may be exchanged in whole or in part for
debt securities registered in the name of any person other than the depositary
or any nominee unless:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>the depositary has notified us that it is unwilling or
unable to continue as depositary or has ceased to be qualified to act as
depositary;</LI></P>
<P ALIGN="JUSTIFY"><LI>an event of default is continuing with respect to the
debt securities of the applicable series; or</LI></P>
<P ALIGN="JUSTIFY"><LI>any other circumstance described in a prospectus
supplement has occurred permitting or requiring the issuance of any such
security.</LI></P>
</UL>

<P ALIGN="JUSTIFY">As long as the depositary, or its nominee, is the registered
owner of a global security, the depositary or nominee will be considered the
sole owner and holder of the debt securities represented by the global security
for all purposes under the indentures. Except in the above limited
circumstances, owners of beneficial interests in a global security will not
be:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>entitled to have the debt securities registered in their
names;</LI></P>
<P ALIGN="JUSTIFY"><LI>entitled to physical delivery of certificated debt
securities; or</LI></P>
<P ALIGN="JUSTIFY"><LI>considered to be holders of those debt securities under
the indenture.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Payments on a global security will be made to the depositary
or its nominee as the holder of the global security. Some jurisdictions have
laws that require that certain purchasers of securities take physical delivery
of such securities in definitive form. These laws may impair the ability to
transfer beneficial interests in a global security.</P>
<P ALIGN="JUSTIFY">Institutions that have accounts with the depositary or its
nominee are referred to as "participants." Ownership of beneficial interests in
a global security will be limited to participants and to persons that may hold
beneficial interests through participants. The depositary will credit, on its
book-entry registration and transfer system, the respective principal amounts of
debt securities represented by the global security to the accounts of its
participants.</P>
<P ALIGN="JUSTIFY">Ownership of beneficial interests in a global security will
be shown on and effected through records maintained by the depositary, with
respect to participants' interests, or any participant, with respect to
interests of persons held by participants on their behalf.</P>
<P ALIGN="JUSTIFY">Payments, transfers and exchanges relating to beneficial
interests in a global security will be subject to policies and procedures of the
depositary. The depositary policies and procedures may change from time to time.
Neither any trustee nor we will have any responsibility or liability for the
depositary's or any participant's records with respect to beneficial interests
in a global security.</P>
<B><P ALIGN="JUSTIFY">Payment and paying agents</P>
</B><P ALIGN="JUSTIFY">Unless otherwise indicated in a prospectus supplement,
the provisions described in this paragraph will apply to the debt securities.
Payment of interest on a debt security on any interest payment date will be made
to the person in whose name the debt security is registered at the close of
business on the regular record date. Payment on debt securities of a particular
series will be payable at the office of a paying agent or paying agents
designated by us. However, at our option, we may pay interest by mailing a check
to the record holder. The trustee will be designated as our initial paying
agent. We may also name any other paying agents in a prospectus supplement. We
may designate additional paying agents, change paying agents or change the
office of any paying agent. However, we will be required to maintain a paying
agent in each place of payment for the debt securities of a particular
series.</P>
<P ALIGN="JUSTIFY">All moneys paid by us to a paying agent for payment on any
debt security that remain unclaimed for a period ending the earlier of:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>10 business days prior to the date the money would be
turned over to the applicable state; or</LI></P>
<P ALIGN="JUSTIFY"><LI>at the end of two years after such payment was due, will
be repaid to us.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Thereafter, the holder may look only to us for such
payment.</P>
<B><P ALIGN="JUSTIFY">No protection in the event of a change of control</P>
</B><P ALIGN="JUSTIFY">Unless otherwise indicated in a prospectus supplement
with respect to a particular series of debt securities, the debt securities will
not contain any provisions that may afford holders of the debt securities
protection in the event we have a change in control or in the event of a highly
leveraged transaction, whether or not such transaction results in a change in
control.</P>
<B><P ALIGN="JUSTIFY">Covenants</P>
</B><P ALIGN="JUSTIFY">Unless otherwise indicated in a prospectus supplement,
the debt securities will not contain any financial or restrictive covenants.</P>
<B><P ALIGN="JUSTIFY">Consolidation, merger and sale of assets</P>
</B><P ALIGN="JUSTIFY">Unless we indicate otherwise in a prospectus supplement,
we may not consolidate with or merge into any other entity, in a transaction in
which we are not the surviving corporation, or convey, transfer or lease our
properties and assets substantially as an entirety to, any entity, unless:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>the successor entity, if any, is a U.S. corporation,
limited liability company, partnership or trust;</LI></P>
<P ALIGN="JUSTIFY"><LI>the successor entity assumes our obligations on the debt
securities and under the indentures;</LI></P>
<P ALIGN="JUSTIFY"><LI>immediately after giving effect to the transaction, no
default or event of default shall have occurred and be continuing; and</LI></P>
<P ALIGN="JUSTIFY"><LI>certain other conditions are met.</LI></P>
</UL>

<B><P ALIGN="JUSTIFY">Events of default</P>
</B><P ALIGN="JUSTIFY">Unless we indicate otherwise in a prospectus supplement,
the following will be events of default for any series of debt securities under
the indentures:</P>
<OL>
<OL>

<OL>

<P ALIGN="JUSTIFY"><LI>we fail to pay principal of or any premium on any debt
security of that series when due;</LI></P>
<P ALIGN="JUSTIFY"><LI>we fail to pay any interest on any debt security of that
series for 30 days after it becomes due;</LI></P>
<P ALIGN="JUSTIFY"><LI>we fail to deposit any sinking fund payment when
due;</LI></P>
<P ALIGN="JUSTIFY"><LI>we fail to perform any other covenant in the indenture
and such failure continues for 90 days after we are given the notice required in
the indentures; and</LI></P>
<P ALIGN="JUSTIFY"><LI>certain events including our bankruptcy, insolvency or
reorganization.</LI></P></OL>
</OL>
</OL>

<P ALIGN="JUSTIFY">Additional or different events of default applicable to a
series of debt securities may be described in a prospectus supplement. An event
of default of one series of debt securities is not necessarily an event of
default for any other series of debt securities.</P>
<P ALIGN="JUSTIFY">The trustee may withhold notice to the holders of any
default, except defaults in the payment of principal, premium, if any, interest,
any sinking fund installment on, or with respect to any conversion right of, the
debt securities of such series. However, the trustee must consider it to be in
the interest of the holders of the debt securities of such series to withhold
this notice.</P>
<P ALIGN="JUSTIFY">Unless we indicate otherwise in a prospectus supplement, if
an event of default, other than an event of default described in clause (5)
above, shall occur and be continuing with respect to any series of debt
securities, either the trustee or the holders of at least a 25 percent in
aggregate principal amount of the outstanding securities of that series may
declare the principal amount and premium, if any, of the debt securities of that
series, or if any debt securities of that series are original issue discount
securities, such other amount as may be specified in the applicable prospectus
supplement, in each case together with accrued and unpaid interest, if any,
thereon, to be due and payable immediately.</P>
<P ALIGN="JUSTIFY">If an event of default described in clause (5) above shall
occur, the principal amount and premium, if any, of all the debt securities of
that series, or if any debt securities of that series are original issue
discount securities, such other amount as may be specified in the applicable
prospectus supplement, in each case together with accrued and unpaid interest,
if any, thereon, will automatically become immediately due and payable. Any
payment by us on the subordinated debt securities following any such
acceleration will be subject to the subordination provisions described below
under "Subordinated debt securities."</P>
<P ALIGN="JUSTIFY">After acceleration the holders of a majority in aggregate
principal amount of the outstanding securities of that series may, under certain
circumstances, rescind and annul such acceleration if all events of default,
other than the non-payment of accelerated principal, or other specified amounts
or interest, have been cured or waived.</P>
<P ALIGN="JUSTIFY">Other than the duty to act with the required care during an
event of default, the trustee will not be obligated to exercise any of its
rights or powers at the request of the holders unless the holders shall have
offered to the trustee reasonable indemnity. Generally, the holders of a
majority in aggregate principal amount of the outstanding debt securities of any
series will have the right to direct the time, method and place of conducting
any proceeding for any remedy available to the trustee or exercising any trust
or power conferred on the trustee.</P>
<P ALIGN="JUSTIFY">A holder of debt securities of any series will not have any
right to institute any proceeding under the indentures, or for the appointment
of a receiver or a trustee, or for any other remedy under the indentures,
unless:</P>
<OL>
<OL>

<OL>

<P ALIGN="JUSTIFY"><LI>the holder has previously given to the trustee written
notice of a continuing event of default with respect to the debt securities of
that series;</LI></P>
<P ALIGN="JUSTIFY"><LI>the holders of at least a majority in aggregate principal
amount of the outstanding debt securities of that series have made a written
request and have offered reasonable indemnity to the trustee to institute the
proceeding; and</LI></P>
<P ALIGN="JUSTIFY"><LI>the trustee has failed to institute the proceeding and
has not received direction inconsistent with the original request from the
holders of a majority in aggregate principal amount of the outstanding debt
securities of that series within 60 days after the original
request.</LI></P></OL>
</OL>
</OL>

<P ALIGN="JUSTIFY">Holders may, however, sue to enforce the payment of
principal, premium or interest on any debt security on or after the due date or
to enforce the right, if any, to convert any debt security, if the debt security
is convertible, without following the procedures listed in (1) through (3)
above.</P>
<P ALIGN="JUSTIFY">We will furnish the trustee an annual statement by our
officers as to whether or not we are in default in the performance of the
conditions and covenants under the indenture and, if so, specifying all known
defaults.</P>
<B><P ALIGN="JUSTIFY">Modification and waiver</P>
</B><P ALIGN="JUSTIFY">Unless we indicate otherwise in a prospectus supplement,
the applicable trustee and we may make modifications and amendments to an
indenture with the consent of the holders of a majority in aggregate principal
amount of the outstanding securities of each series affected by the modification
or amendment.</P>
<P ALIGN="JUSTIFY">We may also make modifications and amendments to the
indentures for the benefit of holders without their consent, for certain
purposes including, but not limited to:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>providing for our successor to assume the covenants under
the indenture;</LI></P>
<P ALIGN="JUSTIFY"><LI>adding covenants or events of default;</LI></P>
<P ALIGN="JUSTIFY"><LI>making certain changes to facilitate the issuance of the
securities;</LI></P>
<P ALIGN="JUSTIFY"><LI>securing the securities;</LI></P>
<P ALIGN="JUSTIFY"><LI>providing for a successor trustee or additional
trustees;</LI></P>
<P ALIGN="JUSTIFY"><LI>curing any ambiguities or inconsistencies;</LI></P>
<P ALIGN="JUSTIFY"><LI>providing for guaranties of, or additional obligors on,
the securities;</LI></P>
<P ALIGN="JUSTIFY"><LI>permitting or facilitating the defeasance and discharge
of the securities; and</LI></P>
<P ALIGN="JUSTIFY"><LI>other changes specified in the indenture.</LI></P>
</UL>

<P ALIGN="JUSTIFY">However, neither the trustee nor we may make any modification
or amendment without the consent of the holder of each outstanding security of
that series affected by the modification or amendment if such modification or
amendment would:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>change the stated maturity of any debt security;</LI></P>
<P ALIGN="JUSTIFY"><LI>reduce the principal, premium, if any, or interest on any
debt security or any amount payable upon redemption or repurchase, whether at
our option or the option of any holder, or reduce the amount of any sinking fund
payments;</LI></P>
<P ALIGN="JUSTIFY"><LI>reduce the principal of an original issue discount
security or any other debt security payable on acceleration of
maturity;</LI></P>
<P ALIGN="JUSTIFY"><LI>change the place of payment or the currency in which any
debt security is payable;</LI></P>
<P ALIGN="JUSTIFY"><LI>impair the right to enforce any payment after the stated
maturity or redemption date;</LI></P>
<P ALIGN="JUSTIFY"><LI>if subordinated debt securities, modify the subordination
provisions in a materially adverse manner to the holders;</LI></P>
<P ALIGN="JUSTIFY"><LI>adversely affect the right to convert any debt security
if the debt security is a convertible debt security; or</LI></P>
<P ALIGN="JUSTIFY"><LI>change the provisions in the indenture that relate to
modifying or amending the indenture.</LI></P>
</UL>

<B><P ALIGN="JUSTIFY">Satisfaction and discharge; defeasance</P>
</B><P ALIGN="JUSTIFY">We may be discharged from our obligations on the debt
securities, subject to limited exceptions, of any series that have matured or
will mature or be redeemed within one year if we deposit enough money with the
trustee to pay all the principal, interest and any premium due to the stated
maturity date or redemption date of the debt securities.</P>
<P ALIGN="JUSTIFY">Each indenture contains a provision that permits us to elect
either or both of the following:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>We may elect to be discharged from all of our
obligations, subject to limited exceptions, with respect to any series of debt
securities then outstanding. If we make this election, the holders of the debt
securities of the series will not be entitled to the benefits of the indenture,
except for the rights of holders to receive payments on debt securities or the
registration of transfer and exchange of debt securities and replacement of
lost, stolen or mutilated debt securities.</LI></P>
<P ALIGN="JUSTIFY"><LI>We may elect to be released from our obligations under
some or all of any financial or restrictive covenants applicable to the series
of debt securities to which the election relates and from the consequences of an
event of default resulting from a breach of those covenants.</LI></P>
</UL>

<P ALIGN="JUSTIFY">To make either of the above elections, we must irrevocably
deposit in trust with the trustee enough money to pay in full the principal,
interest and premium on the debt securities. This amount may be made in cash
and/or U.S. government obligations or, in the case of debt securities
denominated in a currency other than U.S. dollars, cash in the currency in which
such series of securities is denominated and/or foreign government obligations.
As a condition to either of the above elections, for debt securities denominated
in U.S. dollars we must deliver to the trustee an opinion of counsel that the
holders of the debt securities will not recognize income, gain or loss for U.S.
federal income tax purposes as a result of the action.</P>
<P ALIGN="JUSTIFY">"foreign government obligations" means, with respect to debt
securities of any series that are denominated in a currency other than United
States dollars:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>direct obligations of the government that issued or
caused to be issued the currency in which such securities are denominated and
for the payment of which obligations its full faith and credit is pledged, or,
with respect to debt securities of any series which are denominated in euros,
direct obligations of certain members of the European Union for the payment of
which obligations the full faith and credit of such members is pledged, which in
each case are not callable or redeemable at the option of the issuer thereof;
or</LI></P>
<P ALIGN="JUSTIFY"><LI>obligations of a person controlled or supervised by or
acting as an agency or instrumentality of a government described in the bullet
above the timely payment of which is unconditionally guaranteed as a full faith
and credit obligation by such government, which are not callable or redeemable
at the option of the issuer thereof.</LI></P>
</UL>

<B><P ALIGN="JUSTIFY">Notices</P>
</B><P ALIGN="JUSTIFY">Notices to holders will be given by mail to the addresses
of the holders in the security register.</P>
<B><P ALIGN="JUSTIFY">Governing law</P>
</B><P ALIGN="JUSTIFY">The indentures and the debt securities will be governed
by, and construed under, the laws of the State of New York.</P>
<B><P ALIGN="JUSTIFY">No personal liability of directors, officers, employees
and shareholders.</P>
</B><P ALIGN="JUSTIFY">No incorporator, shareholder, employee, agent, officer,
director or subsidiary of ours will have any liability for any obligations of
ours, or because of the creation of any indebtedness under the debt securities,
the indentures or supplemental indentures. The indentures provide that all such
liability is expressly waived and released as a condition of, and as a
consideration for, the execution of such indentures and the issuance of the debt
securities.</P>
<B><P ALIGN="JUSTIFY">Regarding the trustee</P>
</B><P ALIGN="JUSTIFY">The indentures limit the right of the trustee, should it
become our creditor, to obtain payment of claims or secure its claims.</P>
<P ALIGN="JUSTIFY">The trustee will be permitted to engage in certain other
transactions with us. However, if the trustee acquires any conflicting interest,
and there is a default under the debt securities of any series for which it is
trustee, the trustee must eliminate the conflict or resign.</P>
<B><P ALIGN="JUSTIFY">Subordinated debt securities</P>
</B><P ALIGN="JUSTIFY">The following provisions will be applicable with respect
to each series of subordinated debt securities, unless otherwise stated in the
prospectus supplement relating to that series of subordinated debt
securities.</P>
<P ALIGN="JUSTIFY">The indebtedness evidenced by the subordinated debt
securities of any series is subordinated, to the extent provided in the
subordinated indenture and the applicable prospectus supplement, to the prior
payment in full, in cash or other payment satisfactory to the holders of senior
debt, of all senior debt, including any senior debt securities.</P>
<P ALIGN="JUSTIFY">Upon any distribution of our assets upon any dissolution,
winding up, liquidation or reorganization, whether voluntary or involuntary,
marshalling of assets, assignment for the benefit of creditors, or in
bankruptcy, insolvency, receivership or other similar proceedings, payments on
the subordinated debt securities will be subordinated in right of payment to the
prior payment in full in cash or other payment satisfactory to holders of senior
debt of all senior debt.</P>
<P ALIGN="JUSTIFY">In the event of any acceleration of the subordinated debt
securities of any series because of an event of default with respect to the
subordinated debt securities of that series, holders of any senior debt would be
entitled to payment in full in cash or other payment satisfactory to holders of
senior debt of all senior debt before the holders of subordinated debt
securities are entitled to receive any payment or distribution.</P>
<P ALIGN="JUSTIFY">In addition, the subordinated debt securities will be
structurally subordinated to all indebtedness and other liabilities of our
subsidiaries, including trade payables and lease obligations. This occurs
because our right to receive any assets of our subsidiaries upon their
liquidation or reorganization, and your right to participate in those assets,
will be effectively subordinated to the claims of that subsidiary's creditors,
including trade creditors, except to the extent that we are recognized as a
creditor of such subsidiary. If we are recognized as a creditor of that
subsidiary, our claims would still be subordinate to any claims of a creditor
holding a security interest in assets of the subsidiary, to the extent of these
assets, and to any indebtedness of the subsidiary senior to us.</P>
<P ALIGN="JUSTIFY">We are required to promptly notify holders of senior debt or
their representatives under the subordinated indenture if payment of the
subordinated debt securities is accelerated because of an event of default.</P>
<P ALIGN="JUSTIFY">Under the subordinated indenture, we may also not make
payment on the subordinated debt securities if:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>a default in our obligations to pay principal, premium,
interest or other amounts on our senior debt occurs and the default continues
beyond any applicable grace period, which we refer to as a payment default;
or</LI></P>
<P ALIGN="JUSTIFY"><LI>any other default occurs and is continuing with respect
to designated senior debt that permits holders of designated senior debt to
accelerate its maturity, which we refer to as a non-payment default, and the
trustee receives a payment blockage notice from us or some other person
permitted to give the notice under the subordinated indenture.</LI></P>
</UL>

<P ALIGN="JUSTIFY">We will resume payments on the subordinated debt securities:
</P>

<UL>

<P ALIGN="JUSTIFY"><LI>in case of a payment default, when the default is cured
or waived or ceases to exist, and</LI></P>
<P ALIGN="JUSTIFY"><LI>in case of a nonpayment default, the earlier of when the
default is cured or waived or ceases to exist or 179 days after the receipt of
the payment blockage notice,</LI></P>
</UL>

<P ALIGN="JUSTIFY">unless the subordinated indenture otherwise prohibits
payments at such time.</P>
<P ALIGN="JUSTIFY">No new payment blockage period may commence on the basis of a
nonpayment default unless 365 days have elapsed from the effectiveness of the
immediately prior payment blockage notice. No nonpayment default that existed or
was continuing on the date of delivery of any payment blockage notice to the
trustee shall be the basis for a subsequent payment blockage notice.</P>
<P ALIGN="JUSTIFY">As a result of these subordination provisions, in the event
of our bankruptcy, dissolution or reorganization, holders of senior debt may
receive more, ratably, and holders of the subordinated debt securities may
receive less, ratably, than our other creditors. The subordination provisions
will not prevent the occurrence of any event of default under the subordinated
indenture.</P>
<P ALIGN="JUSTIFY">The subordination provisions will not apply to payments from
money or government obligations held in trust by the trustee for the payment of
principal, interest and premium, if any, on subordinated debt securities
pursuant to the provisions described under "--Satisfaction and discharge;
defeasance," if the subordination provisions were not violated at the time the
money or government obligations were deposited into trust.</P>
<P ALIGN="JUSTIFY">If the trustee or any holder receives any payment that should
not have been made to them in contravention of subordination provisions before
all senior debt is paid in full in cash or other payment satisfactory to holders
of senior debt, then such payment will be held in trust for the holders of
senior debt.</P>
<P ALIGN="JUSTIFY">Senior debt securities will constitute senior debt under the
subordinated indenture.</P>
<P ALIGN="JUSTIFY">Additional or different subordination provisions may be
described in a prospectus supplement relating to a particular series of debt
securities.</P>
<I><P ALIGN="JUSTIFY">Definitions</P>
</I><P ALIGN="JUSTIFY">"designated senior debt" means our obligations under any
particular senior debt in which the instrument creating or evidencing the same
or the assumption or guarantee thereof, or related agreements or documents to
which we are a party, expressly provides that such indebtedness shall be
designated senior debt for purposes of the subordinated indenture. The
instrument, agreement or other document evidencing any designated senior debt
may place limitations and conditions on the right of such senior debt to
exercise the rights of designated senior debt.</P>
<P ALIGN="JUSTIFY">"indebtedness" means the following, whether absolute or
contingent, secured or unsecured, due or to become due, outstanding on the date
of the indenture for such series of securities or thereafter created, incurred
or assumed:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>our indebtedness evidenced by a credit or loan agreement,
note, bond, debenture or other written obligation;</LI></P>
<P ALIGN="JUSTIFY"><LI>all of our obligations for money borrowed;</LI></P>
<P ALIGN="JUSTIFY"><LI>all of our obligations evidenced by a note or similar
instrument given in connection with the acquisition of any businesses,
properties or assets of any kind;</LI></P>
<P ALIGN="JUSTIFY"><LI>our obligations:</LI></P>
</UL>
<DIR>
<DIR>
<DIR>
<DIR>
<DIR>
<DIR>

<P ALIGN="JUSTIFY">as lessee under leases required to be capitalized on the
balance sheet of the lessee under generally accepted accounting principles;
or</P>
<P ALIGN="JUSTIFY">as lessee under other leases for facilities, capital
equipment or related assets, whether or not capitalized, entered into or leased
for financing purposes;</P></DIR>
</DIR>
</DIR>
</DIR>
</DIR>
</DIR>


<UL>

<P ALIGN="JUSTIFY"><LI>all of our obligations under interest rate and currency
swaps, caps, floors, collars, hedge agreements, forward contracts or similar
agreements or arrangements;</LI></P>
<P ALIGN="JUSTIFY"><LI>all of our obligations with respect to letters of credit,
bankers' acceptances and similar facilities, including reimbursement obligations
with respect to the foregoing;</LI></P>
<P ALIGN="JUSTIFY"><LI>all of our obligations issued or assumed as the deferred
purchase price of property or services, but excluding trade accounts payable and
accrued liabilities arising in the ordinary course of business;</LI></P>
<P ALIGN="JUSTIFY"><LI>all obligations of the type referred to in the above
clauses of another person and all dividends of another person, the payment of
which, in either case, we have assumed or guaranteed, of for which we are
responsible or liable, directly or indirectly, jointly or severally, as obligor,
guarantor or otherwise, or which are secured by a lien on our property;
and</LI></P>
<P ALIGN="JUSTIFY"><LI>renewals, extensions, modifications, replacements,
restatements and refundings of, or any indebtedness or obligation issued in
exchange for, any such indebtedness or obligation described in the above clauses
of this definition.</LI></P>
</UL>

<P ALIGN="JUSTIFY">"senior debt" means the principal of, premium, if any, and
interest, including all interest accruing subsequent to the commencement of any
bankruptcy or similar proceeding, whether or not a claim for post-petition
interest is allowable as a claim in any such proceeding, on, and all fees and
other amounts payable in connection with, our indebtedness. Senior debt shall
not include:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>any debt or obligation if its terms or the terms of the
instrument under which or pursuant to which it is issued expressly provide it
shall not be senior in right of payment to the subordinated debt securities or
expressly provide that such indebtedness is on the same basis or "junior" to the
subordinated debt securities; or</LI></P>
<P ALIGN="JUSTIFY"><LI>debt to any of our subsidiaries, a majority of the voting
stock of which is owned, directly or indirectly, by us.</LI></P>
</UL>

<P ALIGN="JUSTIFY">"subsidiary" means an entity more than 50% of the outstanding
voting stock of which is owned, directly or indirectly, by us or by one or more
or our other subsidiaries or by a combination of us and our other subsidiaries.
For purposes of this definition, "voting stock" means stock or other similar
interests which ordinarily has or have voting power for the election of
directors, or persons performing similar functions, whether at all times or only
so long as no senior class of stock or other interests has or have such voting
power by reason of any contingency.</P>

<P><A NAME="_Toc75165350"></P>
<B><P ALIGN="CENTER">DESCRIPTION OF THE WARRANTS</P>
</B><P ALIGN="JUSTIFY">The following description, together with the additional
information we may include in any applicable prospectus supplements, summarizes
the material terms and provisions of the warrants that we may offer under this
prospectus and the related warrant agreements and warrant certificates. While
the terms summarized below will apply generally to any warrants that we may
offer, we will describe the particular terms of any series of warrants in more
detail in the applicable prospectus supplement. If we indicate in the prospectus
supplement, the terms of any warrants offered under that prospectus supplement
may differ from the terms described below. Specific warrant agreements will
contain additional important terms and provisions and will be incorporated by
reference as an exhibit to the registration statement that includes this
prospectus or as an exhibit to a current report on Form 8-K.</P>
<B><P ALIGN="JUSTIFY">General</P>
</B><P ALIGN="JUSTIFY">We will describe in the applicable prospectus supplement
the terms of the series of warrants, including:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>the offering price and aggregate number of warrants
offered;</LI></P>
<P ALIGN="JUSTIFY"><LI>the currency for which the warrants may be
purchased;</LI></P>
<P ALIGN="JUSTIFY"><LI>if applicable, the designation and terms of the
securities with which the warrants are issued and the number of warrants issued
with each such security or each principal amount of such security;</LI></P>
<P ALIGN="JUSTIFY"><LI>if applicable, the date on and after which the warrants
and the related securities will be separately transferable;</LI></P>
<P ALIGN="JUSTIFY"><LI>in the case of warrants to purchase debt securities, the
principal amount of debt securities purchasable upon exercise of one warrant and
the price at, and currency in which, this principal amount of debt securities
may be purchased upon such exercise;</LI></P>
<P ALIGN="JUSTIFY"><LI>in the case of warrants to purchase common stock or
preferred stock, the number of shares of common stock or preferred stock, as the
case may be, purchasable upon the exercise of one warrant and the price at which
these shares may be purchased upon such exercise;</LI></P>
<P ALIGN="JUSTIFY"><LI>the effect of any merger, consolidation, sale or other
disposition of our business on the warrant agreement and the warrants;</LI></P>
<P ALIGN="JUSTIFY"><LI>the terms of any rights to redeem or call the
warrants;</LI></P>
<P ALIGN="JUSTIFY"><LI>any provisions for changes to or adjustments in the
exercise price or number of securities issuable upon exercise of the
warrants;</LI></P>
<P ALIGN="JUSTIFY"><LI>the dates on which the right to exercise the warrants
will commence and expire;</LI></P>
<P ALIGN="JUSTIFY"><LI>the manner in which the warrant agreement and warrants
may be modified;</LI></P>
<P ALIGN="JUSTIFY"><LI>federal income tax consequences of holding or exercising
the warrants;</LI></P>
<P ALIGN="JUSTIFY"><LI>the terms of the securities issuable upon exercise of the
warrants; and</LI></P>
<P ALIGN="JUSTIFY"><LI>any other specific terms, preferences, rights or
limitations of or restrictions on the warrants.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Before exercising their warrants, holders of warrants will
not have any of the rights of holders of the securities purchasable upon such
exercise, including:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>in the case of warrants to purchase debt securities, the
right to receive payments of principal of, or premium, if any, or interest on,
the debt securities purchasable upon exercise or to enforce covenants in the
applicable indenture; or</LI></P>
<P ALIGN="JUSTIFY"><LI>in the case of warrants to purchase common stock or
preferred stock, the right to receive dividends, if any, or, payments upon our
liquidation, dissolution or winding up or to exercise voting rights, if
any.</LI></P>
</UL>

<B><P ALIGN="JUSTIFY">Exercise of Warrants</P>
</B><P ALIGN="JUSTIFY">Each warrant will entitle the holder to purchase the
securities that we specify in the applicable prospectus supplement at the
exercise price that we describe in the applicable prospectus supplement. Unless
we otherwise specify in the applicable prospectus supplement, holders of the
warrants may exercise the warrants at any time up to 5:00 P.M. New York time on
the expiration date that we set forth in the applicable prospectus supplement.
After the close of business on the expiration date, unexercised warrants will
become void.</P>
<P ALIGN="JUSTIFY">Holders of the warrants may exercise the warrants by
delivering the warrant certificate representing the warrants to be exercised
together with specified information, and paying the required amount to the
warrant agent in immediately available funds (unless the warrant provides for
net share settlement), as provided in the applicable prospectus supplement. We
will set forth on the reverse side of the warrant certificate and in the
applicable prospectus supplement the information that the holder of the warrant
will be required to deliver to the warrant agent.</P>
<P ALIGN="JUSTIFY">Upon receipt of the required payment in the event the warrant
is exercisable for cash and the warrant certificate properly completed and duly
executed at the corporate trust office of the warrant agent or any other office
indicated in the applicable prospectus supplement, we will issue and deliver the
securities purchasable upon such exercise. If fewer than all of the warrants
represented by the warrant certificate are exercised, then we will issue a new
warrant certificate for the remaining amount of warrants. If we so indicate in
the applicable prospectus supplement, holders of the warrants may surrender
securities as all or part of the exercise price for warrants.</P>
<B><P ALIGN="JUSTIFY">Enforceability of Rights by Holders of Warrants</P>
</B><P ALIGN="JUSTIFY">Each warrant agent will act solely as our agent under the
applicable warrant agreement and will not assume any obligation or relationship
of agency or trust with any holder of any warrant. A single bank or trust
company may act as warrant agent for more than one issue of warrants. A warrant
agent will have no duty or responsibility in case of any default by us under the
applicable warrant agreement or warrant, including any duty or responsibility to
initiate any proceedings at law or otherwise, or to make any demand upon us. Any
holder of a warrant may, without the consent of the related warrant agent or the
holder of any other warrant, enforce by appropriate legal action its right to
exercise, and receive the securities purchasable upon exercise of, its
warrants.</P>

<P><A NAME="_Toc75165351"></P>
<B>
<P ALIGN="CENTER">PLAN OF DISTRIBUTION</P>
</B><P ALIGN="JUSTIFY">We may sell shares of our common stock, shares of our
preferred stock, debt securities and warrants through underwriters, agents,
dealers or directly to one or more purchasers. We may distribute these
securities from time to time in one or more transactions at a fixed price or
prices, at market prices prevailing at the times of sale, at prices related to
these prevailing market prices or at negotiated prices. Any such price may be
changed from time to time.</P>
<P ALIGN="JUSTIFY">The prospectus supplement for the securities we sell will
describe that offering, including:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>the name or names of any underwriters, if any;</LI></P>
<P ALIGN="JUSTIFY"><LI>the purchase price of the securities and the proceeds we
will receive from the sale;</LI></P>
<P ALIGN="JUSTIFY"><LI>any over-allotment options under which underwriters may
purchase additional securities from us;</LI></P>
<P ALIGN="JUSTIFY"><LI>any agency fees or underwriting discounts and other items
constituting agents' or underwriters' compensation;</LI></P>
<P ALIGN="JUSTIFY"><LI>any initial public offering price;</LI></P>
<P ALIGN="JUSTIFY"><LI>any discounts or concessions allowed or reallowed or paid
to dealers; and</LI></P>
<P ALIGN="JUSTIFY"><LI>any securities exchange or market on which the securities
may be listed.</LI></P>
</UL>

<P ALIGN="JUSTIFY">Only underwriters named in the prospectus supplement are
underwriters of the securities offered by the prospectus supplement.</P>
<P ALIGN="JUSTIFY">We may determine the price or other terms of the securities
offered under this prospectus by use of an electronic auction. We will describe
how any auction will determine the price or any other terms, how potential
investors may participate in the auction and the nature of the underwriters',
dealers' or agents' obligations in the related supplement to this
prospectus.</P>
<P ALIGN="JUSTIFY">If underwriters are used in the sale, they will acquire the
securities for their own account and may resell them from time to time in one or
more transactions at a fixed public offering price or at varying prices
determined at the time of sale. The obligations of the underwriters to purchase
the securities will be subject to the conditions set forth in the applicable
underwriting agreement. We may offer the securities to the public through
underwriting syndicates represented by managing underwriters or by underwriters
without a syndicate. Subject to certain conditions, the underwriters will be
obligated to purchase all the securities of the series offered by the prospectus
supplement. Any public offering price and any discounts or concessions allowed
or reallowed or paid to dealers may change from time to time. We may use
underwriters with whom we have a material relationship. We will describe in the
prospectus supplement, naming the underwriter, the nature of any such
relationship.</P>
<P ALIGN="JUSTIFY">We may sell securities directly or through agents we
designate from time to time. We will name any agent involved in the offering and
sale of securities and we will describe any commissions we will pay the agent in
the prospectus supplement. Unless the prospectus supplement states otherwise,
our agent will act on a best-efforts basis for the period of its
appointment.</P>
<P ALIGN="JUSTIFY">We may authorize agents or underwriters to solicit offers by
certain types of institutional investors to purchase securities from us at the
public offering price set forth in the prospectus supplement pursuant to delayed
delivery contracts providing for payment and delivery on a specified date in the
future. We will describe the conditions to these contracts and the commissions
we must pay for solicitation of these contracts in the prospectus
supplement.</P>
<P ALIGN="JUSTIFY">The maximum commission or discount to be received by any NASD
member or independent broker-dealer with respect to any offering of our
securities pursuant to this prospectus and any amendments or supplements thereto
will not be greater than eight (8) percent of the gross proceeds received from
any such offering.</P>
<P ALIGN="JUSTIFY">We may provide agents and underwriters with indemnification
against certain civil liabilities, including liabilities under the Securities
Act, or contribution with respect to payments that the agents or underwriters
may make with respect to such liabilities. Agents and underwriters may engage in
transactions with, or perform services for, us in the ordinary course of
business.</P>
<P ALIGN="JUSTIFY">All securities we offer, other than common stock, will be new
issues of securities with no established trading market. Any underwriters may
make a market in these securities, but will not be obligated to do so and may
discontinue any market making at any time without notice. We cannot guarantee
the liquidity of the trading markets for any securities.</P>
<P ALIGN="JUSTIFY">Any underwriter may engage in overallotment, stabilizing
transactions, short covering transactions and penalty bids in accordance with
Regulation M under the Exchange Act. Overallotment involves sales in excess of
the offering size, which create a short position. Stabilizing transactions
permit bids to purchase the underlying security so long as the stabilizing bids
do not exceed a specified maximum. Short covering transactions involve purchases
of the securities in the open market after the distribution is completed to
cover short positions. Penalty bids permit the underwriters to reclaim a selling
concession from a dealer when the securities originally sold by the dealer are
purchased in a covering transaction to cover short positions. Those activities
may cause the price of the securities to be higher than it would otherwise be.
If commenced, the underwriters may discontinue any of the activities at any
time.</P>
<P ALIGN="JUSTIFY">Any underwriters who are qualified market makers on The
Nasdaq National Market may engage in passive market making transactions in the
securities on The Nasdaq National Market in accordance with Rule 103 of
Regulation M, during the business day prior to the pricing of the offering,
before the commencement of offers or sales of the securities. Passive market
makers must comply with applicable volume and price limitations and must be
identified as passive market makers. In general, a passive market maker must
display its bid at a price not in excess of the highest independent bid for such
security; if all independent bids are lowered below the passive market maker's
bid, however, the passive market maker's bid must then be lowered when certain
purchase limits are exceeded.</P>

<P><A NAME="_Toc75165352"></P>
<B>
<P ALIGN="CENTER">LEGAL MATTERS</P>
</B><P ALIGN="JUSTIFY">The validity of the securities offered hereby will be
passed upon by Wilson, Sonsini, Goodrich &amp; Rosati, Professional Corporation,
Palo Alto, California, counsel to 8x8, Inc.</P>

<P><A NAME="_Toc75165353"></P>
<B><P ALIGN="CENTER">EXPERTS</P>
</B><P ALIGN="JUSTIFY">The consolidated financial statements incorporated in
this registration statement by reference to the Current Report on Form 8-K of
8x8, Inc. dated March&nbsp;31, 2004, have been so incorporated in reliance on
the report of PricewaterhouseCoopers LLP, independent accountants, given on the
authority of said firm as experts in auditing and accounting.</P>

<P><A NAME="_Toc75165354"></P>
<B><P ALIGN="CENTER">WHERE YOU CAN FIND MORE INFORMATION</P>
</B><P ALIGN="JUSTIFY">We file reports, proxy statements and other information
with the SEC in accordance with the Securities Exchange Act of 1934, or the
Exchange Act. You may read and copy our reports, proxy statements and other
information filed by us at the public reference room of the SEC in Washington,
D.C. Please call the SEC at 1-800-SEC-0330 for further information about the
public reference rooms. Our reports, proxy statements and other information
filed with the SEC are available to the public over the Internet at the SEC's
website at http://www.sec.gov and through a hyperlink on our Internet website at
http://www.8x8.com.</P>
<P ALIGN="JUSTIFY">The SEC allows us to "incorporate by reference" certain
information we file with them, which means that we can disclose important
information by referring you to those documents. The information incorporated by
reference is considered to be a part of this prospectus, and information that we
file later with the SEC will automatically update and supersede this
information. We incorporate by reference the documents listed below and any
future filings made by us with the SEC under Sections 13(a), 13(c), 14 or 15(d)
of the Exchange Act until our offering is complete:</P>

<UL>

<P ALIGN="JUSTIFY"><LI>our Annual Report on Form 10-K for the year ended
March&nbsp;31, 2003, excluding the consolidated financial statements, filed with
the SEC on May&nbsp;29, 2003;</LI></P>
<P ALIGN="JUSTIFY"><LI>our Proxy Statement filed with the SEC on June&nbsp;19,
2003 in connection with our 2003 Annual Meeting of Stockholders;</LI></P>
<P ALIGN="JUSTIFY"><LI>our Quarterly Report on Form 10-Q for the quarterly
period ended June&nbsp;30, 2003, filed with the SEC on July&nbsp;25,
2003;</LI></P>
<P ALIGN="JUSTIFY"><LI>our Quarterly Report on Form 10-Q for the quarterly
period ended September&nbsp;30, 2003, filed with the SEC on October&nbsp;30,
2003;</LI></P>
<P ALIGN="JUSTIFY"><LI>our Quarterly Report on form 10Q for the quarterly period
ended December&nbsp;31, 2003, filed with the SEC on January&nbsp;29,
2004;</LI></P>
<P ALIGN="JUSTIFY"><LI>our Current Report on Form 8-K, filed with the SEC on
July&nbsp;31, 2003;</LI></P>
<P ALIGN="JUSTIFY"><LI>our Current Report on Form 8-K, filed with the SEC on
November&nbsp;13, 2003;</LI></P>
<P ALIGN="JUSTIFY"><LI>our Current Report on Form 8-K, filed with the SEC on
November&nbsp;19, 2003;</LI></P>
<P ALIGN="JUSTIFY"><LI>our Current Report on Form 8-K, filed with the SEC on
January&nbsp;29, 2004;</LI></P>
<P ALIGN="JUSTIFY"><LI>our Current Report on Form 8-K, including the
consolidated financial statements, filed with the SEC on March&nbsp;31,
2004;</LI></P>
<P ALIGN="JUSTIFY"><LI>the description of our common stock in our registration
statement on Form 8-A filed with the SEC on November&nbsp;21, 1996, including
any amendments or reports filed for the purpose of updating such description;
and</LI></P>
<P ALIGN="JUSTIFY"><LI>all documents that we file with the SEC under Sections
13(a), 13(c), 14 or 15 of the Exchange Act until all of the securities that we
may offer with this prospectus are sold.</LI></P>
</UL>

<P ALIGN="JUSTIFY">You may request a copy of these filings, at no cost, by
telephoning us at (408) 727-1885 or by writing us at the following
address:</P>
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<P ALIGN="JUSTIFY">Investor Relations<BR>
                   8X8, Inc.<BR>
                   2445 Mission College Blvd.<BR>
                   Santa Clara, CA 95054</P>
</DIR>
</DIR>
</DIR>
</DIR>
</DIR>
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<B><FONT SIZE=4><P ALIGN="CENTER">4,800,000 Shares</P>
<P ALIGN="CENTER">Warrants for 1,920,000 Shares</P>
</FONT><FONT SIZE=5><P ALIGN="CENTER">8X8, INC.</P>
</FONT><FONT SIZE=4><P ALIGN="CENTER">Common Stock</P>

<B><FONT SIZE=4><P ALIGN="CENTER">A.G. EDWARDS</P>

</FONT><FONT SIZE=2><P ALIGN="CENTER">&#9;&#9;&#9;&#9;&#9;&#9;</FONT><FONT SIZE=4>GRIFFIN SECURITIES, INC.</P>

</FONT><P ALIGN="CENTER">This prospectus supplement is dated June 21, 2004</P></B>


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